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Robert HalfSource d’offres vérifiée

Senior Fund Accountant

Offre en anglais

The role involves preparing financial statements, calculating NAVs, and managing investor reporting for private market investment funds. The candidate will also coordinate capital activities and support the settlement and administration of structured investment transactions.

  • Sur place
  • Vancouver, BC
  • Publié 6 août 2026
  • Postuler avant le 5 sept. 2026
  • 1 poste

Résumé du poste

Senior Fund Accountant & Investment Operations Associate Location: Downtown Vancouver, BC Employment Type: Full-Time in office About the Opportunity: Our client is a growing investment management firm based in downtown Vancouver, focused in managing alternative investment strategies across a diverse portfolio of private market investments, as the firm continues to expand, they are seeking a highly analytical and detail oriented Senior Fund Accountant to join their fiancé team. This is an excellent opportunity for someone who enjoys working beyond traditional fund accounting. The successful candidate will play a key role in fund administration, investor reporting, financial reporting and supportive investment operations while working closely with senior leadership and external service providers. Key Responsibilities Prepare monthly, quarterly, and annual financial statements for investment funds and related entities. Maintain accurate fund accounting records, including capital activity, investment, valuations, income accruals, and expense allocations. Perform NAV calculations and reconcile investment portfolios, cash, and capital accounts. Coordinate year end audits and liaise with external auditors. Assist with the preparation of consolidated financial statements and supporting schedules. Assist with preparation of quarterly and annual investor reporting packages and regulatory filings and reporting requirements. Coordinate capital calls, investor subscriptions, redemptions, and distributions. Maintain investor records and capital account statements. Respond to investor inquiries regarding reporting and fund activity. Support compliance with applicable securities regulations and internal policies. Maintain corporate records and fund governance documentation. Coordinate documentation related to fund structures and investment entities. Support settlement and administration of investment transactions. Maintain records for portfolio holdings, valuations, and cash movements. Assist with monitoring investment performance and portfolio reporting. Coordinate documentation relating to credit facilities, loans, bonds, collateralized loan obligations (CLOs), and other structured investments. Work closely with investment professionals to ensure timely execution and documentation of transactions. Support operational improvements and implementation of investment systems and processes. Qualifications Bachelor's degree in Accounting, Finance, Commerce, or a related discipline. CPA designation is considered an asset. 5+ years of progressive experience in fund accounting, investment accounting, or private investment operations. Experience working with private investment funds, asset managers, family offices, or fund administrators. Strong understanding of investment fund structures including: Limited Partnerships Special Purpose Vehicles (SPVs) Co-investment vehicles Experience with alternative investments and credit instruments, including: Private loans Bonds Collateralized Loan Obligations (CLOs) Payment-in-Kind (PIK) instruments Knowledge of Canadian accounting standards and financial reporting requirements. Experience supporting audits and regulatory reporting. Advanced Microsoft Excel skills. Experience with investment accounting or fund administration software is considered an asset. Personal Attributes Exceptional attention to detail and organizational skills. Strong analytical and problem-solving abilities. Ability to manage multiple priorities and meet deadlines. Excellent written and verbal communication skills. Professional, collaborative, and proactive approach. Comfortable working in a dynamic, entrepreneurial environment. Why Join? This is an opportunity to become an integral member of a growing investment management firm where you will gain broad exposure to fund operations, investment accounting, structured credit, and private market investments. You will work alongside experienced investment professionals in a collaborative environment and play a key role in supporting the firm's continued growth.

Ce que vous ferez

The role involves preparing financial statements, calculating NAVs, and managing investor reporting for private market investment funds. The candidate will also coordinate capital activities and support the settlement and administration of structured investment transactions.

Exigences

Requires a bachelor's degree in Accounting or Finance and at least 5 years of progressive experience in fund or investment accounting. A CPA designation and expertise in alternative investment structures like Limited Partnerships and CLOs are highly valued.

Compétences indiquées

  • Microsoft ExcelSouhaitée

Autres compétences pertinentes

Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.

  • Fund Accounting
  • NAV Calculation
  • Financial Reporting
  • Investor Reporting
  • Private Market Investments
  • Audit Coordination
  • Capital Call Management
  • Regulatory Filing
  • Microsoft Excel
  • Investment Operations
  • Credit Instruments
  • Portfolio Reconciliation
  • Canadian Accounting Standards
  • Fund Administration
  • Corporate Governance

Domaines d’emploi

  • Finance & Accounting
  • Management & Leadership

Renseignements supplémentaires

Formation minimale
Diplôme professionnel
Expérience minimale
5+ ans
Postuler avant le
5 sept. 2026
Langue de l’offre
anglais
Heures de travail
40 heures par semaine
Niveau d’expérience
Mid-Senior level
Mode de candidature
La candidature directe est offerte