Key Responsibilities: Review and validate daily/monthly NAV calculations for alternative investment funds Perform cash and position reconciliations across custodians and prime brokers Coordinate with auditors and internal teams for financial reporting and audit processes Ensure compliance with internal controls and operational procedures Act as a checker for fund accounting outputs and Geneva-based valuations Requirements: Proficiency in the Geneva fund accounting system Minimum 3 years of exper
Executive Access - Hong Kong - Full time
Salary: negotiable
Key Responsibilities:
Requirements: