Fund Accounting Lead

Infinit-O Group

Pasay, Hinoba-an

On-site

PHP 1,800,000 - 3,200,000

Full time

14 days+
Application generator

Get a reply from this employer — a resume and cover letter tailored to exactly what they’re hiring for.

Get past ATS filters

Job summary

Infinit-O Group is seeking a highly skilled Fund Accounting Lead to drive financial excellence across our Private Equity funds in Pasay, Metro Manila. You will partner with Fund Controllers to deliver institutional-grade data, transparency, and reporting while leading a dedicated team of fund accountants.

You will oversee NAV calculations, complex waterfall models, and quarterly statements, while identifying process improvements to optimize our accounting ecosystems and client service.

Qualifications

  • 5+ years of experience in fund accounting or fund administration, with private equity focus.
  • Experience with capital calls, waterfalls, and NAV reconciliations required.
  • 1–3 years of direct supervisory or team-management experience.
  • CPA or progress toward CPA/CFA is a plus.
  • Bachelor’s degree in Accounting or Finance; good communication and client service skills.

Responsibilities

  • Oversee end-to-end NAV calculation and production.
  • Reconcile cash, positions, and trial balances with fund administrators.
  • Review income allocations and partner statements.
  • Lead month-end close and prepare audit-ready statements.
  • Develop SOPs and implement new accounting tools.
  • Mentor team members and monitor KPIs.
  • Enable data-driven decisions with PE metrics (IRR, TVPI, RVPI, DPI).

Skills

Fund accounting
Private Equity
NAV reconciliation
Leadership
Process improvement
Financial reporting

Education

Bachelor's degree in Accounting or Finance

Tools

Excel
ERP systems
Financial modeling

Job description

Pasay City Central Post Office, Philippines | Posted on 09/02/2026

  • State/Province National Capital Region (Manila)
  • Country Philippines
About Us

Infinit-O is the trusted customer-centric and sustainable leader in Business Process Optimization for Small and Medium businesses in the Financial Services, Healthcare, and Technology sectors by delivering continuous improvement through technology, data, and people.

Job Description

Infinit-O is the trusted, customer-centric, and sustainable leader in Business Process Optimization. We empower finance and healthcare organizations to thrive in a digital-first world by combining specialized industry expertise and innovative technology for 20 years.

We navigate complex industry landscapes to drive transformative outcomes, helping businesses streamline operations, enhance customer experience, and achieve sustainable growth backed by a world-class Net Promoter Score of 75. Our approach combines operational efficiency with a human-centered ethos, ensuring sustainable value creation for our clients and team members.

As a Certified B Corporation, Infinit-O is committed to the highest standards of social and environmental performance, accountability, and transparency. We embed these values into every aspect of our operations—aligning business success with a positive impact on our clients, people, and communities.

Our commitment to Diversity, Equity, and Inclusion (DEI) is integral to our mission. We believe that building inclusive, equitable teams is not only the right thing to do—it is also essential for driving innovation and better business outcomes. We actively promote equal opportunity through inclusive hiring practices, continuous learning programs, and regular equity assessments to ensure a fair and empowering workplace for all.

Key Responsibilities:

Role Overview

We are seeking a highly skilled and analytical Fund Accounting Lead to drive financial excellence across our Private Equity funds. In this role, you will act as a strategic partner to Fund Controllers, providing them with institutional-grade data, transparency, and reporting. As a team lead, you will oversee a dedicated team of fund accountants, ensuring data integrity, operational efficiency, and top-tier client service while actively identifying and implementing process improvements to optimize our accounting ecosystems.

Key Responsibilities:

Oversee the end-to-end calculation and production of Net Asset Value (NAV). Perform and review comprehensive cash, position, and Trial Balance reconciliations against fund administrators, custodians, prime brokers, and bank accounts to resolve breaks efficiently.

Review allocation of income, expenses, gains, and losses across partner accounts. Review quarterly and annual Partner Statements to ensure accurate tracking of paid-in capital, unfunded commitments, and clawbacks.

Oversee complex Private Equity lifecycles, including:

Execution and calculation of capital calls, drawdowns, and distributions.

Verification of complex waterfall models, distribution rules, preferred returns, and carried interest calculations.

Pre- and post-closing transaction support for new portfolio investments.

Lead month-end close workflows and drive quarter-end and year-end financial statements review, ensuring all supporting schedules and trial balances are accurate and audit-ready.

Critically evaluate existing accounting workflows, reporting cycles, and system integrations to uncover inefficiencies, manual bottlenecks, or operational risks.

Develop scalable, automated, or streamlined standard operating procedures (SOPs) to address identified gaps and enhance delivery speed and data accuracy.

Lead the implementation of new accounting tools, technologies, and optimized workflows, ensuring smooth adoption across the team and seamless delivery to clients.

Drive leverage for our clients by deeply understanding their fund structures and strategic needs while scaling our fractional CFO and advisory operations.

Enable data-driven decision-making for fund managers by leveraging advanced tools to deliver critical PE metrics, including real-time Internal Rate of Return ( IRR ), portfolio company valuation tracking, and key performance indicators ( TVPI , RVPI , and DPI ).

Define, monitor, and manage the team’s Key Performance Indicators (KPIs) to ensure accurate and timely deliverable timelines.

Conduct daily and monthly quality control reviews of work processes to ensure institutional-grade reporting accuracy and zero-defect deliverables.

Mentor, guide, and upskill team members. Provide creative problem-solving frameworks to help them navigate complex private equity accounting scenarios and adapt to newly optimized processes.

Monitor daily operational workflows, analyze performance variances against targets, and execute root-cause analysis to implement permanent process improvements.

Collaborate in the hiring, selection, onboarding, and continuous training of new team members to support team growth.

Requirements

Job Requirements and Credentials:

5+ years of experience in fund accounting or fund administration, with a strong focus on Private Equity or closed-end fund structures (experience with capital calls, waterfalls, and NAV reconciliations is required).

Proven track record of successfully identifying accounting process gaps and implementing operational optimizations or financial technology solutions.

1–3 years of direct supervisory or team management experience, with a track record of reviewing the work of direct reports.

Highly organized with impeccable attention to detail and a track record of meeting strict financial deadlines.

Bachelor’s degree in Accounting, Finance, or a related field. CPA or progress toward a CPA/CFA is a significant plus.

Proactive, curious, and driven to dismantle inefficient legacy processes in favor of scalable, modern solutions.

Genuinely passionate about delivering exceptional client service and supporting the growth of our partners.

Excited by new challenges, highly responsive, and capable of managing competing priorities in a fast-paced environment.

Proven ability to articulate highly technical, complex financial and accounting concepts in a clear, concise manner.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Fund Accounting Lead
Fund Accounting Lead

Infinit-O • Santa Clara

On-site
PHP 1,800,000 - 3,000,000
Fund Accounting Lead
Fund Accounting Lead

Infinit-O • Metro Manila

On-site
PHP 1,500,000 - 2,100,000
Fund Accounting Team Lead
Fund Accounting Team Lead

Our Clients • Pasay

On-site
PHP 900,000 - 1,300,000
Senior Fund Accountant (2+ Years | Private Equity) | Night | Hybrid
Senior Fund Accountant (2+ Years | Private Equity) | Night | Hybrid

Infinit-O • Philippines

On-site
PHP 500,000 - 750,000
Private Equity Fund Accounting Lead
Private Equity Fund Accounting Lead

Infinit-O Group • Pasay, Hinoba-an

On-site
PHP 1,800,000 - 3,200,000
Fund Accounting Lead: Private Equity NAV & Processes
Fund Accounting Lead: Private Equity NAV & Processes

Infinit-O • Santa Clara

On-site
PHP 1,800,000 - 3,000,000
Senior Fund Accountant (Private Equity)
Senior Fund Accountant (Private Equity)

PM Consulting • Philippines

On-site
PHP 800,000 - 1,200,000
Senior Private Equity Fund Accounting Lead
Senior Private Equity Fund Accounting Lead

Infinit-O • Metro Manila

On-site
PHP 1,500,000 - 2,100,000
Senior Fund Accountant (Private Equity) Hybrid | RTO 2-4x a month
Senior Fund Accountant (Private Equity) Hybrid | RTO 2-4x a month

Hammerjack Pty Ltd • Philippines

Hybrid
PHP 500,000 - 700,000
HMO Benefits upon hire
Quarterly Incentives
Equipment Provided
Senior Fund Accountant (Hedge Fund)
Senior Fund Accountant (Hedge Fund)

PM Consulting • Philippines

On-site
PHP 900,000 - 1,300,000