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    Senior Fund Accounting Associate - Manila, Pilipinas - ACCPRO INTERNATIONAL

    ACCPRO INTERNATIONAL
    Default job background
    Permanent
    Paglalarawan
    Sr


    Fund Accounting AssociateJob Description:

    • Optimize and streamline processes to increase efficiency. Historical accounting data has been trackedin Microsoft Excel. The individual will be required to summarize capital activity and actively track andmanage data in preparation for the implementation of technology solutions.
    • Document procedures and policies across multiple funds/investments. The individual will be requiredto understand and assist with documenting deal-by-deal allocation rules that vary by fund and investorclasses. Assistwith the maintenance, preparation, and reviewof investor allocations and capital accountstatements by deal by fund. Ability to create roll-up excelsummaries and checksto ensure completenessand accuracy of the General Partner'sshare.
    • Prepare deal by deal capital calls allocations and distribution, allocate expenses, and prepare investorcapital notices.
    • Assist with tracking and maintaining carried interest issuances, updating deal by deal carry, re-allocating carry for issuances and forfeitures based on each fund's allocation rules, calculating vesting bydeal by fund.
    • Summarize key provisions from fund agreements such as allocation methodology, clawback provisionsand holdback requirements, expense policies and methodologies.
    • Perform monthly cash reconciliations for numerous funds. This requires downloading bank cashactivity, tracking expense reserves, tax withholdings and payments and other reconciling items.
    • Record monthly journal entries in Investran based on the capital activity.
    • Record, maintain quarterly trial balances and reconcile fund accounting workpapers as well as generalpartner's year-to-date and life-to-date capital activity summary and reconciliations.
    • Track and maintain tax withholdings and payments by investor, fund and legal entity.
    • Prepare, maintain or review year-to-date and life-to-date capital activity.
    • Track and maintain the General Partner commitment tracker by Fund.
    • Assist with ad-hoc reporting needs

    Requirements:

    Qualifications:

    • Bachelor's degree in accounting or finance.
    • Previous General Partner Accounting experience or at minimum, Fund accounting experience.
    • 5-7 years' experience in accounting, with a focus in private equity
    • Demonstrate a strong knowledge of accounting, with a focus on private equity funds.
    • High attention to detail, accuracy and timeliness with proven ability in managingmultiple deliverabletimelines concurrently.
    • Experience with financial data analysis
    • Proficiency in Microsoft Office suite, with advanced Excel skills
    • Knowledge of ERP systems required (Sage Intact and Investran)
    • Understanding accounting and finance process flows and how information is consolidated into thegeneral ledger, to ensure improvement and value creation.
    • Good English, oral and written, communication skills.
    • Ability to follow procedures.
    • Ability to meet assigned deadlines.
    • Strong communicationsskills.
    • Self-motivated / energetic individual.
    • Experience with DealCloud CRM platform a plus.

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