Fund Accounting Manager - Investment Services - Toronto, ON
Company Overview:
A global investment company is searching for a Fund Accounting Manager to join their team.
Core Responsibilities:
As Fund Accounting Manager, you will:
- Manage the full cycle of fund accounting for private equity clients, including NAV calculations, accruals, asset pricing, and reconciliations
- Maintain accurate pricing of portfolio assets in accordance with fund guidelines and valuation policies
- Perform capital activity calculations, including calls, distributions, fees, and waterfall structures
- Allocate investor transactions and ensure proper recording of capital movements and profit/loss
- Compile NAV reporting packages and meet additional deliverables outlined in service agreements
- Assist with financial statement audits and regulatory compliance requirements
- Address inquiries and deliverables for both internal teams and external clients
- Contribute to special projects and handle various ad hoc responsibilities as needed
Qualifications:
- Accounting Degree
- CPA Designation (advantageous)
- 8+ years of experience in a similar position
- Private Equity Fund experience is key
What We Offer:
- Competitive Base Salary
- Bonus incentives
- Extensive healthcare benefits
- Opportunities for career advancement
- Flexible hybrid working model to promote work-life balance.
APPLY NOW!
