Fund Accountant
📣 Job Ad| Contract Type | Full-time | |
| Workplace type | On-site | |
| Location | Saudi Arabia |
Job Description
About the Role
Apex Group Ltd. is seeking a Fund Accountant to join its team in KSA. This full-time role within FundRock, a leading independent UCITS management company and AIFM, offers the opportunity to contribute to a growing organization and make a direct impact.
Role Contribution and Environment
The Fund Accountant will operate within a dynamic, fast-paced, and multicultural team, engaging with a diverse and global product line. This position provides significant visibility within the organization and the chance to influence the Apex Business function in KSA. The company supports skill development and career progression for its employees.
Key Responsibilities
- Ensure all work complies with fund terms and conditions, relevant regulatory requirements, and anti-money laundering regulations.
- Maintain adherence to the firm’s policies and procedures.
- Assist senior team members and seek coaching as required.
- Generate necessary reports punctually.
- Serve as the primary contact for accounting matters for entities and foster strong client relationships.
- Review work performed by offshore teams to ensure accuracy.
- Timely review and submission of Net Asset Value (NAV) to clients in accordance with Service Level Agreements (SLAs).
- Provide backup for Transfer Agency functions.
Qualifications and Requirements
- Experience, preferably as a Fund Accountant or in an equivalent role.
- Strong educational background, preferably in accounting.
- Proactive approach with a drive to advance initiatives.
- Ability to meet agreed deadlines.
- Flexibility in work approach to meet client deliverables due to the nature of the role.
- Capacity to multi-task and perform effectively in a demanding environment.
- Problem-solving skills and the ability to address complex issues.
- A participative management style focused on motivating staff and developing their skills.
- Experience in the comprehensive fund administration process, including NAV calculation, pricing, corporate actions processing, performance fee calculation, shareholder services, and AML/KYC verifications.
Career Development
This role offers opportunities for professional growth and skill enhancement within a large organization that is on an upward trajectory.
Application Process
Candidates who meet the above qualifications are encouraged to apply.
Requirements
- No experience required
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