Assisting senior finance manager on operational due diligence requests from investors / potential investors
Assisting senior finance manager on with investments / Fund structuring, including setting up of holding companies and bank accounts
Assisting senior finance manager in coordinating the investment approval process and working closely with the teams to review and sign off of all deals
Assisting senior finance manager to plan and execute key collaborations and meetings and activities relating to fund operations
Liaise with the investment team and portfolio management, to drive the regular investment valuation process; ensure valuations are prepared in accordance with industry guidelines and relevant accounting standards
Assisting senior finance manager with annual audit and tax compliance process for the Funds and the Firm, including maintaining an active dialogue with auditors to ensure compliance with accounting standards
Ensure the Fund is compliant with its own AML obligation
Oversee the work of the third-party administrators
Actively participate in financial monitoring of investee companies
Cash/liquidity management for Fund and all General Partners and affiliated entities
Generate routine financial reports for management and conduct regular finance performance reviews (actual vs budgets)
Monitor, document and implement effective accounting processes and controls; ensuring policies and processes are consistent and appropriate, in accordance with accounting standards and company policies with regular review and adjust in accordance to business dynamics
Identify and implement ongoing process improvement, achieve better efficiency in costs, timing, and quality of deliverables
Requirements
Bachelor degree of Finance, Business Administration or related discipline
Qualified Accountant (CPA) with formal training from audit firm
3+ years gained from Fund administration or PE firm