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The Fund Accountant will be responsible for supporting the accurate calculation and reporting of Net Asset Values (NAV) for investment portfolios. The role plays a key part in ensuring financial integrity, data accuracy, and timely reporting within a regulated asset management environment. The candidate will work closely with custodians, fund administrators, and internal stakeholders to support day‑to‑day fund accounting operations, reconciliations, and reporting deliverables.
The client is a global asset management firm offering a broad range of investment solutions across equities, fixed income, multi‑asset, and alternative investments. The firm serves a diverse client base including institutional investors, financial institutions, and intermediaries across multiple regions. The organisation operates a regional hub in Asia, supporting core investment operations such as portfolio servicing, corporate actions, data management, and client reporting...