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Fund Accountant

PROTEGE FUND SERVICES PTE. LTD.

Singapore

On-site

SGD 60,000 - 80,000

Full time

Today
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Job summary

A financial services company in Singapore is seeking a Fund Accountant to manage financial statements, fund accounting, and NAV calculations. The ideal candidate will possess strong analytical skills and a bachelor's degree in accounting or finance. This full-time position offers a competitive salary of SGD 3,200 - SGD 4,200 and a performance bonus, as well as opportunities for professional growth in a dynamic team environment.

Benefits

Attractive compensation
Performance bonus
Opportunity to be part of a fast growing team

Qualifications

  • Minimum of 1 year of experience in fund administration or accounting.
  • Fresh graduates are welcome to apply.
  • CPA, ACCA, or other relevant certification is an advantage.

Responsibilities

  • Supporting investor relations and fund accounting activities.
  • Ensure timely delivery of NAV packs and reports.
  • Support multiple asset classes and funds.
  • Assist in fund setup process and various fund structures.
  • Liaison with auditors for annual fund audits.

Skills

Strong knowledge of financial statements
Fund accounting
Financial reporting
NAV calculations
Analytical skills
Problem-solving skills
Verbal communication
Written communication
Teamwork

Education

Bachelor’s degree in accounting, finance or related field
Job description
Company Description

Protege Fund Services is an independent Asia based Fund Administrator. We serve a growing list of sophisticated client base ranging from individual private clients to large financial corporations. We believe in building a long-term working relationship with our clients to create successful partnerships through customized and innovative solutions. Safeguarding our clients' privacy and confidentiality interests through robust operational processes and original solutions is our top priority.

Job Description & Requirements

This is a full‑time role located in Singapore. The Fund Accountant will be responsible for financial statements, fund accounting, financial reporting, and net asset value (NAV) calculations. The role involves actively participating in the day‑to‑day financial operations of funds, maintaining accurate records, and ensuring compliance with regulations and industry standards. This role requires strong analytical skills, attention to detail, and the ability to work effectively in a team.

A. Roles & Responsibilities
  • Supporting investor relations, fund accounting, and portfolio reporting activities
  • Ensure timely delivery of NAV packs and reports to fund managers and investors
  • Support multiple asset classes and funds including both liquid and non‑liquid strategies
  • Support fund setup process and various fund structures
  • Support in designing and implementing fund administration process automation initiatives to improve operational efficiencies and resiliency
  • Liaison with auditors to support annual fund audits
  • Support fund related queries from fund managers
B. Requirements
  • Strong knowledge of financial statements, fund accounting, financial reporting, NAV, and finance
  • Experience in fund administration or accounting, preferably in the hedge fund or private equity industry
  • Excellent analytical and problem‑solving skills
  • Excellent verbal and written communication skills
  • Ability to work independently and as part of a team
  • Bachelor’s degree in accounting, finance or related field, and minimum of 1 year experience in relevant field
  • Fresh graduates are welcome to apply
  • CPA, ACCA, or other relevant certification is an advantage
C. Our Offer
  • Attractive compensation of SGD 3,200 - SGD 4,200
  • Performance bonus
  • Opportunity to be part of a fast growing team
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