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FP Global
Hong Kong, Hong Kong
(on-site)
Posted
20 hours ago
FP Global
Hong Kong, Hong Kong
(on-site)
Job Function
Accounting/Finance
Senior Manager, Fund Accounting (Hedge Fund)
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Senior Manager, Fund Accounting (Hedge Fund)
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
OverviewWe are partnering with a rapidly growing fund services organization to recruit an experienced Senior Manager, Fund Accounting (Hedge Fund) for its Hong Kong office. The successful individual will oversee a high-performing team supporting complex hedge fund structures across Asia. This opportunity suits a fund accounting professional seeking to combine technical depth, leadership responsibility, and client-facing exposure within a dynamic and expanding platform. You will play a key role in strengthening operational excellence as the firm continues to scale its fund services business in the region.
Key Responsibilities
Fund Accounting & Financial Reporting
- Supervise daily, weekly, and monthly NAV production for hedge fund portfolios, ensuring timely and accurate delivery in line with fund documentation and SLAs.
- Review and approve complex valuations involving multi-class funds, performance and management fee calculations, series accounting, side pockets, and derivative instruments.
- Oversee the preparation and review of audited and unaudited financial statements under IFRS or US GAAP, coordinating with auditors on year-end matters.
- Collaborate closely with Investor Services and Operations teams to ensure investor activities are accurately captured in the fund's accounting records.
- Monitor fund expenses, accruals, and fee calculations to ensure compliance with governing documents and internal control standards.
- Resolve valuation, reconciliation, and accounting issues promptly and professionally.
Client Relationship Management
- Serve as the primary accounting contact for fund managers, investment advisors, and other stakeholders.
- Lead client discussions on NAV results, valuation methodologies, and fund performance.
- Provide proactive insights on accounting treatment, control improvements, and operational enhancements.
- Support client onboarding, fund launches, and transitions, ensuring readiness from an accounting and systems perspective.
Regulatory & Compliance Oversight
- Ensure adherence to SFC requirements, Cayman Islands regulations, and applicable global accounting standards.
- Maintain robust internal controls around pricing, reconciliation, and financial reporting.
- Partner with Compliance, Risk, and Legal teams on regulatory filings, audit support, and governance processes.
- Oversee FATCA/CRS reporting and other regulatory deliverables as required.
Leadership & People Development
- Lead and mentor a team of fund accountants and senior fund accountants, promoting high standards of accuracy, collaboration, and accountability.
- Manage performance reviews, training, and career development plans to build technical depth within the team.
- Foster a culture of continuous improvement, ownership, and professional excellence.
- Act as deputy to the Head of Fund Accounting when required.
Operational Excellence & Change Management
- Drive process improvement and automation initiatives to enhance accuracy, scalability, and efficiency.
- Participate in system enhancement and implementation projects involving fund accounting platforms (e.g., Geneva, Paxus, Investran, or equivalent).
- Develop and track KPIs and control metrics to ensure consistent service delivery.
- Collaborate with regional teams to align operational standards and promote best practices across jurisdictions.
Credentials & Experience
- Minimum 7-10 years of fund accounting experience within fund administration or hedge fund environments, including at least 3 years in a managerial or supervisory capacity.
- Strong technical understanding of hedge fund structures, including master-feeder, fund-of-funds, and hybrid vehicles.
- Deep knowledge of NAV calculation, financial reporting, and valuation principles.
- Familiarity with SFC-regulated funds, Cayman structures, and Asian hedge fund clients preferred.
- Proficiency in fund accounting systems such as Advent Geneva, PFS-Paxus, or equivalent.
- Degree in Accounting, Finance, or related discipline; CPA, CA, or ACCA qualification preferred.
- Excellent communication and stakeholder management skills.
- Fluent in English and Mandarin; Cantonese a plus.
Personal Attributes
- Highly analytical, detail-oriented, and control-focused.
- Client-centric with a strong sense of ownership and service excellence.
- Effective under pressure, capable of managing tight deadlines and complex deliverables.
- Hands-on leader who builds trust, motivates teams, and promotes accountability.
- Forward-thinking and adaptable, with a commitment to continuous improvement and best practice standards.
To apply, please submit your resume to lyn@fundspartnership.com or ariane@fundspartnership.com, highlighting your relevant experience and why you are interested in this position.
**** All information will be treated with the strictest confidence. We regret to inform you that only short-listed applicants would be notified. Thank you for your understanding ***
Job ID: 81014127
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