Mitsubishi UFJ Financial Group, Inc

Senior Manager, Fund Accounting, Private Markets / Private Debt

Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • University degree in finance or accounting
  • Proven fund administration experience with staff management
  • Deep understanding of private equity fund structures and regulations
  • High proficiency in Microsoft Excel
  • Familiarity with fund accounting software like Geneva, Investran, or Yardi
  • Interest in or completion of professional accounting designation (CA, CMA, CFA, etc.)

Responsibilities

  • Provide comprehensive fund accounting services for private equity clients
  • Lead and manage a team of Fund Accountants
  • Coordinate with banks and financial entities for service delivery
  • Approve and ensure accuracy of fee schedules and calculations
  • Manage NAV cycle processes including investor allocations and distributions
  • Ensure compliance with AML requirements and respond to client inquiries
  • Review and sign off on reports and schedules for regulatory compliance
  • Develop fund-specific procedures and drive process improvements

Benefits

  • Opportunity to work in a dynamic and global environment
  • Engagement in projects focusing on AI and technological enhancements
  • Career growth potential within a large financial group
  • Supportive team environment fostering professional development
  • Innovative approach to fund administration and client service
Full Job Description
Job Description

Report to the Director, Nexus, Client Delivery, a list of your responsibilities will include:
  • Provide the full range of fund accounting and administration services to private equity fund clients, including Net Asset Value (NAV) preparation and review, custody servicing, investor record keeping and reporting
  • Manage a team of Fund Accountants in performing accounting and administration service delivery to customers and train staff on all aspects of the NAV process
  • Work with banks, auditors, brokers and custodians to ensure smooth service delivery to customers and completion of NAV
  • Approve fee schedules including calculation of management and carried interest, ensuring all calculations follow applicable fund documents
  • Review and approve investor allocations for each NAV cycle, waterfall calculation and reviews, custody trading documents, Subscription and process Capital Calls and distributions wires, ensuring execution as instructed by clients and deadlines are met
  • Work with both the internal AML team, and the administrators, ensuring all AML requirements are met
  • Respond to all client queries
  • Review and sign any schedules, reports and files for review ensuring they are completed in compliance with organization controls
  • Resource Allocation to ensure that all work is carried out and Service level agreement met
  • Approve payment of fund expenses in applicable banking systems, ensuring controls are followed
  • Help with preparation and review of audited financial statements and annual audit
  • Review reporting for the regulatory authorities
  • Establish fund or client specific procedures covering all aspects of our services; Ensure cross training and cover in place for all services provided to client
  • Help with the growth of the local office
  • Create ideas for improving the NAV process, technological improvements and client reporting
  • Participate in multiple system initiatives and projects


This is a new position.

Qualifications
  • Post-secondary education/University Degree with a concentration in finance or accounting.
  • Demonstrable experience working in the fund administration industry with experience managing staff. This can include other administrators, investment managers or fund auditors.
  • In-depth understanding of the private equity fund administration industry. This includes multiple fund structures, fee calculations, financial instruments and fund offering documentation review.
  • High proficiency with Microsoft Excel is an essential requirement for this role.
  • Experience with fund accounting software Geneva, Investran or Yardi or working knowledge of Bloomberg would be beneficial
  • Completion or interest in a professional accounting designation (CA, CGA, CMA, ACCA, ICAEW, CFA (or equivalent) an asset


Additional Information

Experience something Brilliantly Different with a career with MUFG Investor Services.

Who are we? In a nutshell, MUFG Investor Services is part of the Mitsubishi UFJ Financial Group family, and we partner with over 480 loyal global investment firms to provide them with administration, asset services, banking, and fund financing.

We're in 17 global locations and provide an exceptional hub of Brilliantly Different talent to thrive.

At MUFG Investor Services, we use Artificial Intelligence (AI) tools to help identify skills and experience that align with role requirements. All AI recommendations are reviewed by our recruitment team before any decisions are made.

About Mitsubishi UFJ Financial Group, Inc

Mitsubishi UFJ Financial Group, Inc. (MUFG) is a Japanese financial services company headquartered in Tokyo, Japan. It is the holding company for the Mitsubishi UFJ Financial Group (MUFG), one of the largest financial groups in the world by assets. MUFG offers a wide range of financial services, including commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. The company has a global presence, with operations in Asia, Europe, the Americas, and other regions. MUFG is committed to sustainability and social responsibility, and has implemented various initiatives to promote environmental protection, social welfare, and diversity and inclusion.
Learn more about Mitsubishi UFJ Financial Group, Inc
Size
135,049 employees
Market Cap
$85.1 billion
Industry
Net Income
$550.9 billion
5 Year Trend
-2.2%
NASDAQ

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