Key Responsibilities
- Maintain accurate general ledger records for investment entities
- Record and reconcile investment transactions including purchases, sales, dividends, interest, management fees, and capital calls
- Monitor and reconcile brokerage and bank accounts regularly
- Assist with preparation of quarterly and annual financial statements
- Maintain up-to-date records of cost base, unrealized gains/losses, and income allocation
- Prepare journal entries related to investment activity, accruals, and intercompany transactions
- Assist with preparation of audit or tax support packages for accountants
- Track capital contributions and distributions for private equity and partnership investments
- Generate financial reports for internal stakeholders as requested
- Maintain filing and document management for all financial records
- Ensure compliance with internal controls and company accounting policies
Qualifications
- Diploma or certificate in Accounting, Bookkeeping, or related field
- 2+ years of relevant bookkeeping experience (investment or asset management industry preferred)
- Experience using accounting software (e.g., QuickBooks, Quicken) and Excel
- Familiarity with investment transactions, tax slips (e.g., T3, T5), and capital gains tracking
- Strong attention to detail, organization, and time management
- Ability to handle confidential information with integrity