SGGG Fund Services Inc. is hiring a Fund Accountant (BC) for its Fund Accounting department in BC. The Fund Accountant is responsible for producing a daily/weekly/monthly Net Asset Value per Unit (NAVPU) for assigned Client portfolios and assisting with other duties as assigned.
Responsibilities
- Maintain the accounting records of Client portfolios (trades, expenses, accruals, etc.)
- Produce a daily, weekly, or monthly net asset values for each client in an accurate and timely manner
- Prepare draft financial statements, audit information packages and tax returns for clients
- Develop a professional and productive relationship with Clients and SGGG-FSI staff
- Work to continually improve the processes associated with your assigned functions
- Keep management informed of any and all issues that could have a Client impact
Skills
- Post-secondary education in a relevant field
- Advanced Microsoft Office skills – particularly Excel
- Clear and fluent communication skills (written, verbal) are essential to this role
- Work with minimal supervision to prioritize and manage work
- Effective member of a team
- Thrives in a fast pace working environment with competing deadlines
- Superior communication and interpersonal skills
- Excellent Client service skills
- Strong attention to detail
- CSC or IFIC Mutual Funds Operations course
- Possess or in process of obtaining a professional designation such as CPA, CFA etc
- Previous Co-op/Intern experience
- Fund accounting experience, in a daily or monthly valuation environment
Benefits
- Discretionary bonus
- Benefits
- Insurance
- RRSP match
- Generous PTO
Company Overview
SGGG Funds Services is a leading provider of fund administration to hedge funds, mutual funds, and private debt/equity firms. It was founded in 1997, and is headquartered in Toronto, Ontario, CAN, with a workforce of 201-500 employees. Its website is https://sgggfsi.com/.
Apply Now