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Real Assets Fund Accountant

Ref: 9218232

  • €70,000 - €80,000
  • 18 Jun 2019
  • Dublin (South)
  • Perm

Position Overview
This is a new role which has arisen due to recent and expected growth in the Real Asset business in EMEA and hence this role presents the chosen candidate with excellent career development opportunities working for a global leading company in fund administration. The successful candidate will work closely with the Head of Fund Accounting for Real Assets in EMEA thereby presenting a good opportunity for professional learning and development in the area of Real Assets fund administration. Our client expects to win new business for Irish domiciled funds and must demonstrate substance within Ireland to comply with local regulations. This role will require an experienced individual to perform oversight and review of these funds and to build a team as the business grows.
• Provide client service on a multitude of matters including: posting general ledger journals, reconciling cash and positions, recording and analysing transactions, and preparation of work paper packages. • Perform local review and release of reporting packages to clients. • Onboarding new clients onto the TNR accounting software package. • Preparation and review of monthly, quarterly and annual financial statements and partner capital reporting including all supporting work papers and disclosure documents. • Preparation and review of draft financial statements in accordance with relevant accounting standards. • Liaise with external auditors. • Act as a subject matter expert for any accounting issues clients may raise. • Interacting with colleagues at various levels across multiple locations • Lead, or perform a significant role in, due diligence meetings for investors. • Able to perform Account Manager role; arranging and leading client service reviews, overseeing projects for clients and ensuring timely delivery. • Monitor the timeliness of the client deliverables, assist in resolving bottlenecks and look for process improvements. • Ensure completion and review of Fund Administrator's pack to the Fund's board. Present the pack to the board. • Completion of regulatory reporting to CBI, such as quarterly MMIF reporting.
Experience, Skills & Qualifications
• Qualified accountant (ACA, ACCA, CIMA, CPA) • Experience of fund administration or real assets / private equity accounting • Familiarity with preparing and reviewing of capital call and distribution calculations, management fee calculations, waterfall calculations and preparation of financial statements • Knowledge of partnership accounting • Good knowledge of US GAAP and IFRS • MS Excel knowledge • Ability to work under pressure and manage tight internal and client deadlines • Strong communication skills, including written, listening and presentation abilities • Solid client relationship management skills • Willingness to travel, occasional travel may be required to other offices If you’re interested in this or other financial services jobs, please contact John Howe on 01 662 1000 or email