The Fund Accountant will prepare investor reporting, drawdowns, distributions, and support treasury and liquidity management. They will liaise with auditors, tax advisors, and legal professionals to ensure accurate and compliant reporting. The role involves reviewing work, supporting junior team members, and contributing to process improvements and project initiatives. Requirements include financial expertise and strong analytical skills.
Accountant – Fund Accounting
Jersey
Full Time
Permanent
Agency Listing
Accounting
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