
Sunibel Corporate Services Ltd
Prepare working files and NAV calculation for funds
Update the fund system with respect to subscription, redemption and transfer of shares of investors
Prepare and effect statutory filings with the local authorities on CBRD, MNS platform and OSP
Prepare monthly investors’ report
Process invoices and bank transfers for funds clients, and ensure liaison with banks
Organise and attend Board meetings
Liaise with authorities such as ROC, FSC and MRA as and when required
Assist in ensuring the proper reporting of financial statements with auditors
Competencies
Strong experience in both open-ended and private equity funds
Excellent written and oral communication skills (English and French)
Strong time-management, organisational skills, and ability to multi-task
Good analytical skills
Dynamic, proactive and reliable
Team player and client-oriented
Qualifications and experience
Degree Holder in Accounting, Finance or any relevant field
At least 4 years of working experience in similar role
Partly ACCA qualified would be a strong advantage
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