The Fund Accountant will be responsible for managing fund accounting and administration, preparing financial statements and audits, and completing reconciliations and bookkeeping. They will also process payments and transactions, prepare NAVs, valuations, and investor reports, and manage client relationships. A professional qualification in accounting is preferred, and the role offers a growing and collaborative team environment with support for professional qualification and diverse fund exposure.
Fund Accountant
Guernsey
Permanent
Agency Listing
Accounting
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