Client Accounting Associate

WATIGA & CO. (S) PTE. LTD.

Singapore

On-site

SGD 60,000 - 90,000

Full time

5 days ago
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Benefits offered by this job

Dental
Health insurance
Fitness & Wellness program
Professional development

Job summary

GLAS is seeking a diligent fund accounting professional to join its debt administration services practice in Singapore. You will manage accounting and administration for trusts and funds across private equity, venture capital and other assets, including investor reports, NAV calculations and regulatory filings.

You will prepare management accounts and SPV financial statements, oversee tax returns to IRAS, GST and corporate taxes, and participate in client onboarding and KYC.

Qualifications

  • Diploma/Degree in Accounting, Finance or related discipline.
  • 2 years' experience in fund or corporate accounting roles.
  • Strong understanding of SFRS and Singapore statutory requirements.
  • Detail‑oriented with strong documentation and control mindset.
  • Strong analytical and review skills with confidence in exercising professional judgment.
  • Comfortable operating in a regulated, inspection‑ready environment.
  • Collaborative, organised and able to manage multiple stakeholders and deadlines.

Responsibilities

  • Responsible for the accounting and administration of trusts and funds focused on investments in private equity, venture capital, digital assets and other alternative assets.
  • Handling and supporting the trust and fund administration service line including production of investor reports, financial statements, NAV calculations, monthly and quarterly reconciliations.
  • Preparation of the management accounts and statutory financial statements of SPVs within the trust structures.
  • Preparation and submission of tax returns to IRAS, including quarterly GST and annual corporate tax returns.
  • Preparation and review of XBRL financial statements.
  • Be involved in new client onboarding including coordination of opening of new bank accounts, drafting fund agreements, and conducting investor and fund KYC.
  • Preparing capital account statements, capital call and distribution notices, waterfall and equalisation calculations and fund performance indicators.
  • Assist in client service matters, maintain and build client relationships.
  • Working collaboratively with team members to ensure timely completion of regulatory filings.
  • Working consultatively with team members on ad-hoc tasks as assigned.

Skills

Detail-oriented
Analytical skills
Regulatory compliance
Stakeholder management

Education

Diploma/Degree in Accounting, Finance or related discipline

Job description

About GLAS

GLAS is an award-winning independent debt administration services company providing, amongst other services, loan agency, security agency and corporate trustee services in the international debt capital markets.

With its origins in acting in complex restructuring transactions, GLAS' work covers a broad range of transactions ranging from direct lending with banks and debt funds to high yield bond issuances and complex debt restructurings. GLAS' services are delivered in connection with corporate debt, acquisition finance, project and infrastructure finance and sponsor and corporate-led leveraged finance transactions.

The business currently comprises more than 450 professionals servicing over 7000 transactions across its global platform. GLAS currently has offices in London, Sydney, New York, New Jersey, Brisbane, Melbourne, Paris, Frankfurt, Madrid, Rome, Milan, Dubai, Hong Kong and Singapore.

Key Responsibilities
  • Responsible for the accounting and administration of trusts and funds focused on investments in private equity, venture capital, digital assets and other alternative assets.
  • Handling and supporting the trust and fund administration service line including production of investor reports, financial statements, NAV calculations, monthly and quarterly reconciliations.
  • Preparation of the management accounts and statutory financial statements of SPVs within the trust structures.
  • Preparation and submission of tax returns to IRAS, including quarterly GST and annual corporate tax returns.
  • Preparation and review of XBRL financial statements.
  • Be involved in new client onboarding including coordination of opening of new bank accounts, drafting fund agreements, and conducting investor and fund KYC.
  • Preparing capital account statements, capital call and distribution notices, waterfall and equalisation calculations and fund performance indicators.
  • Assist in client service matters, maintain and build client relationships.
  • Working collaboratively with team members to ensure timely completion of regulatory filings.
  • Working consultatively with team members on ad-hoc tasks as assigned.
Skills, Experience & Qualifications
  • Diploma/Degree in Accounting, Finance or related discipline.
  • 2 years' experience in fund or corporate accounting roles.
  • Strong understanding of SFRS and Singapore statutory requirements.
  • Detail‑oriented with strong documentation and control mindset.
  • Strong analytical and review skills with confidence in exercising professional judgment.
  • Comfortable operating in a regulated, inspection‑ready environment.
  • Collaborative, organised and able to manage multiple stakeholders and deadlines.
Benefits
  • Dental
  • Health insurance
  • Fitness & Wellness program
  • Professional development
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