Fund Accountant

Avensys Consulting

Location: MOA, Pasay City Work Set Up: Hybrid (2x-4x per Month) | Night Shift About the Role We are seeking a Senior Fund Accounting Associate to support fund accounting and investor operations for investment management clients. The role involves managing investor transactions, portfolio reconciliation, financial reporting, and ensuring compliance with regulatory and accounting standards. You will work closely with internal teams and clients to ensure accurate fund operations, reporting, and high-quality service delivery . Key Responsibilities Analyze assigned funds’ performance on a monthly basis and monitor market developments. Develop knowledge of financial instruments including equities, bonds, swaps, options, FX, mortgages, financing, and futures . Apply accounting standards relevant to Investment Management and Fund Accounting . Review and process investor transactions ensuring compliance with SLA requirements and client formation documents . Accurately record investor activities in internal systems. Maintain awareness of industry standards, regulatory updates, and compliance requirements affecting investor reporting. Review and price portfolios according to firm and fund pricing policies . Reconcile securities and positions against broker statements . Investigate and resolve discrepancies between accounting records and broker reports. Establish and execute operational processes and procedures. Monitor Key Performance Indicators (KPIs) to ensure service delivery standards. Conduct daily and monthly process audits to maintain operational quality. Prepare and deliver operational and financial reports as required by clients. Prepare and review GAAP financial statements . Calculate and review partner allocations, management fees, and performance fees . Requirements Bachelor’s Degree in Accounting or related field . 1+ years of relevant experience in Fund Accounting , preferably within a Fund Administration firm . Strong knowledge of GAAP financial statement preparation and review . Experience supporting annual audit processes and audit testing . Understanding of partner allocations, management fee calculations, and performance fees . Ability to work in a fast-paced, deadline-driven environment . Strong attention to detail and process adherence. Excellent English communication skills (written and verbal) . Preferred Skills Experience working with investment funds or asset management firms Knowledge of fund structures and investor reporting Strong analytical and reconciliation skills Why Join Us? Work in a dynamic environment supporting global investment clients while developing expertise in fund operations, financial reporting, and investment accounting.

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Fund Accountant

Avensys Consulting

Updated 4 months ago
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Taguig Hybrid Internship 📅 4 days ago

About this role

Location: MOA, Pasay City

Work Set Up: Hybrid (2x-4x per Month) | Night Shift

About the Role We are seeking a Senior Fund Accounting Associate to support fund accounting and investor operations for investment management clients. The role involves managing investor transactions, portfolio reconciliation, financial reporting, and ensuring compliance with regulatory and accounting standards.

You will work closely with internal teams and clients to ensure accurate fund operations, reporting, and high-quality service delivery .

Key Responsibilities Analyze assigned funds’ performance on a monthly basis and monitor market developments. Develop knowledge of financial instruments including equities, bonds, swaps, options, FX, mortgages, financing, and futures . Apply accounting standards relevant to Investment Management and Fund Accounting .

Review and process investor transactions ensuring compliance with SLA requirements and client formation documents . Accurately record investor activities in internal systems. Maintain awareness of industry standards, regulatory updates, and compliance requirements affecting investor reporting.

Review and price portfolios according to firm and fund pricing policies . Reconcile securities and positions against broker statements . Investigate and resolve discrepancies between accounting records and broker reports.

Establish and execute operational processes and procedures. Monitor Key Performance Indicators (KPIs) to ensure service delivery standards. Conduct daily and monthly process audits to maintain operational quality.

Prepare and deliver operational and financial reports as required by clients. Prepare and review GAAP financial statements . Calculate and review partner allocations, management fees, and performance fees .

Requirements Bachelor’s Degree in Accounting or related field . 1+ years of relevant experience in Fund Accounting , preferably within a Fund Administration firm . Strong knowledge of GAAP financial statement preparation and review .

Experience supporting annual audit processes and audit testing . Understanding of partner allocations, management fee calculations, and performance fees . Ability to work in a fast-paced, deadline-driven environment .

Strong attention to detail and process adherence. Excellent English communication skills (written and verbal) . Preferred Skills Experience working with investment funds or asset management firms Knowledge of fund structures and investor reporting Strong analytical and reconciliation skills Why Join Us?

Work in a dynamic environment supporting global investment clients while developing expertise in fund operations, financial reporting, and investment accounting.

About the Company

Avensys Consulting specializes in providing tailored financial solutions and investment management services.

Key Highlights

  • Hybrid work setup allows flexibility with 2-4 days in-office.
  • Night shift schedule suitable for those seeking evening work.
  • Involves managing complex financial instruments and investor transactions.
  • Opportunity to work closely with internal teams and clients.

💡 Honest Take: This role is ideal for those looking to enter fund accounting, but the night shift may not suit everyone. The hybrid setup offers some flexibility, though the focus on compliance and reporting could be demanding.

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