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Fund Accountant | Singapore, SG

FP Global

Singapore

On-site

SGD 60,000 - 90,000

Full time

4 days ago
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Job summary

Join a leading fund administration firm as a Fund Accountant in Singapore, where you'll manage accounting for a portfolio of clients, oversee investor servicing, and ensure compliance with financial regulations. This hands-on role emphasizes collaboration and professional growth within a supportive team culture emphasizing accountability and camaraderie. A Bachelor's degree in Accounting and at least 4 years of relevant experience is required to thrive in this dynamic and client-focused environment.

Qualifications

  • Minimum 4 years of experience in fund accounting, ideally within private equity or venture capital.
  • Strong knowledge of accounting standards (US GAAP, IFRS, SFRS) and tax compliance practices.
  • Fluent in English, both written and spoken.

Responsibilities

  • Manage day-to-day fund accounting functions including reconciliations and fee calculations.
  • Prepare and review financial statements in accordance with US GAAP and IFRS.
  • Act as the main point of contact for clients, ensuring high-quality service.

Skills

Client-focused
Excellent communication
Relationship management
Attention to detail
Time management
Organisational skills

Education

Bachelor’s degree in Accounting
Chartered Accountant or equivalent accreditation

Tools

Investran

Job description

Looking for more than just a job? Join a tight-knit, high-performing team where collaboration, accountability, and camaraderie go hand in hand.

Our client is one of the leading fund administrators in Singapore, known for delivering high-touch service across private equity, venture capital, hedge fund, and fund-of-funds structures. Based in their Singapore office, you’ll step into a hands-on role where your contributions are visible, your voice is heard, and you’re surrounded by a team that values trust, collaboration, and shared success. It’s a culture where high standards and strong relationships go hand in hand — whether it’s meeting client deadlines or catching up over a team lunch.

Role Overview

As a Fund Accountant, you will be a key part of the Fund Services team, overseeing a portfolio of fund and SPV clients. You’ll manage end-to-end accounting, investor servicing, and transfer agency tasks, working closely with internal stakeholders and external advisors to ensure smooth operations and accurate reporting. You’ll also contribute to enhancing our client-centric service model and supporting the continued growth of the Singapore office.

Key Responsibilities

  • Manage day-to-day fund accounting functions, including transaction bookings, corporate actions, security pricing, reconciliations, and fee calculations.
  • Prepare and review monthly/quarterly/annual NAV packages, including trial balances, financial statements, investment reports, and supporting schedules.
  • Draft and review financial statements in accordance with US GAAP, IFRS, SFRS, or RAP 7, including appropriate disclosures.
  • Coordinate with auditors to ensure timely and accurate completion of audits.
  • Liaise with clients to resolve accounting queries and support fund lifecycle events.
  • Collaborate with tax advisors to prepare GST and other tax compliance filings.
  • Execute client payments and maintain proper administrative and financial records.
  • Maintain internal documentation and procedures to ensure operational consistency and risk control.

Transfer Agency & Investor Services

  • Maintain investor registers and manage capital activities including commitments, subscriptions, drawdowns, redemptions, distributions, conversions, and share transfers.
  • Conduct AML/KYC checks and review investor documentation for compliance.
  • Support FATCA/CRS and K1 reporting requirements.
  • Manage investor onboarding processes and coordinate with legal, compliance, and fund operations teams to ensure smooth fund setup in line with governing documents (LPA, PPM, etc).

Client Relationship Management

  • Act as a main point of contact for a portfolio of hedge funds, private equity, venture capital, and SPVs.
  • Attend client meetings, coordinate with legal, tax, and banking counterparts, and ensure responsive, high-quality service.
  • Track deliverables to meet service standards and manage internal workflows to support client timelines.

Operational Support

  • Ensure timely and accurate filing of administrative and financial records.
  • Assist with regulatory reporting and other business support tasks as needed.
  • Help maintain internal procedural manuals and controls to support operational risk management.

Qualifications

  • Bachelor’s degree in Accounting, Finance, or a related discipline.
  • Minimum 4years of experience in fund accounting, ideally within private equity, venture capital, or other alternative funds.
  • Familiarity with fund structures, SPVs, and investor workflows.
  • Proficiency with fund accounting systems (e.g., Investran preferred).
  • Strong knowledge of accounting standards (US GAAP, IFRS, SFRS) and tax compliance practices.
  • Client-focused with excellent communication and relationship management skills.
  • Able to manage competing deadlines, with a strong sense of ownership and attention to detail.
  • Team player with strong communication, time management, and organisational skills.
  • Chartered Accountant or equivalent accreditation is a plus.
  • Fluent in English, both written and spoken.

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Funds Partnership is a global boutique executive search firm specialising in the investment management industry. Due to our clients’ location and language-specific needs, Funds Partnership focuses on 6 core markets: Singapore, Hong Kong, China, Japan, India and Australia – all which have thriving fund ecosystems.

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