Save Job Back to Search Job Description Summary Similar JobsVery strong fund!Opportunity for growth and development!About Our ClientAn organisation within the financial services industry located in Melbourne.Job DescriptionPrepare and review monthly and quarterly fund accounting and management reporting across investment funds and associated entities.Calculate and review Net Asset Values (NAVs), including underlying investment valuations, accruals, management fees, performance fees and fund expenses.Maintain accurate accounting records for investment funds, trusts, SPVs and other investment structures.Perform cash, investment, loan and balance sheet reconciliations and investigate discrepancies.Account for private credit investments, including loan drawdowns, repayments, interest income, capitalised interest, fees and other investment-related transactions.Assist with the preparation and processing of investor distributions, capital calls and other investor transactions.Monitor fund liquidity and cash positions and assist with cash flow forecasting.Support investor reporting, including preparation and review of periodic fund reports and investor statements.Work closely with Investment and Portfolio Management teams to ensure investment activity is accurately reflected within the accounting records.Liaise with external fund administrators, custodians, banks and other service providers.Assist with half-year and year-end statutory financial statements and coordinate information required by external auditors.Support tax compliance requirements across the funds and underlying investment structures.Assist with regulatory and compliance reporting requirements.Maintain strong financial controls and contribute to the continued development and improvement of fund accounting processes.Support the implementation and enhancement of systems, reporting tools and automation initiatives.Assist with new fund launches, investment structures and other ad hoc projects.The Successful ApplicantThe successful candidate will ideally have:Approximately 2-5 years' experience across fund accounting, investment accounting, financial accounting or audit within funds management, financial services or professional services.Previous exposure to alternative investments, private credit, property funds, private equity, infrastructure or other unlisted investments would be highly regarded.A Bachelor's degree in Accounting, Finance, Commerce or a related discipline.CA or CPA qualification, or progress towards qualification, preferred.Strong understanding of accounting principles and financial reporting.Experience preparing or reviewing NAVs, reconciliations, financial statements and investor reporting.Strong Excel skills and confidence working with complex financial data.High attention to detail and an ability to work effectively within reporting deadlines.Strong analytical and problem-solving capability.Excellent communication skills with the ability to engage across Finance, Operations and Investment teams.A proactive and collaborative approach with an interest in developing a long-term career within investment management.What's on OfferCompetitive salary ranging from $110,000 to $180,000 AUD.Permanent full-time position based in Melbourne.Opportunities to work within the financial services industry.If this role aligns with your skills and experience, we encourage you to apply.ContactBen NaylorQuote job refJN-092026-7095913Phone number+61386166225Job summaryFunctionBanking & Financial ServicesSpecialisationFund & Trust AccountingIndustryFinancial ServicesLocationMelbourne CBDJob TypePermanentConsultant nameBen NaylorConsultant phone+61386166225Job ReferenceJN-092026-7095913