
Assistant Manager, Fund Accounting
4 weeks ago
Prudential’s purpose is to be partners for every life and protectors for every future. Our purpose encourages everything we do by creating a culture in which diversity is celebrated and inclusion assured, for our people, customers, and partners. We provide a platform for our people to do their best work and make an impact to the business, and we support our people’s career ambitions. We pledge to make Prudential a place where you can Connect, Grow, and Succeed.
Reporting to the Manager of Fund Accounting, this position is responsible for the daily fund accounting operations following the applicable accounting standards, regulatory requirements and guidelines, and internal policies and procedures.
Principal Duties & Responsibilities:
Fund Accounting Operations- Perform the daily fund accounting operational tasks such as unit trading processing, trades processing, securities master data creation or update, corporate actions processing, pricing upload, accruals of miscellaneous fund related fees, provision of tax and deferred tax, etc.- Perform position and cash reconciliations as per the stipulated timeline and frequency.- Perform investigation, follow-up and resolve any discrepancies identified during the position and cash reconciliations process.- Ensure proper and valid justification for the outstanding unreconciled items and ensure these unreconciled items are resolved in a timely manner.- Execute daily/weekly/monthly Net Asset Value (“NAV”) valuation as per the stipulated timeline.- Perform validation of daily/weekly/monthly NAV price based on PAMB’s fund accounting system against the NAV price and NAV price movement checks provided by the appointed service provider.- Perform investigation and follow-up with the appointed service provider should the differences identified during the NAV validation process exceed the tolerance limit.- Ensure proper and valid justification are properly documented for the differences exceeding the tolerance limit and escalate if adjustments or immediate rectification is required.- Verify the unit price publications and ensure accuracy as per the agreed timeline before releasing for publications.- Ensure all the fund accounting related transactions are processed accurately and in a timely manner.- Prepare all relevant data and reports in an accurate manner and in accordance to the stipulated timeline.- Verify the calculation basis and amount to be settled for fees payment to fund managers, custodians, appointed service providers, fund accounting related vendors, etc.- Prepare settlement instructions to relevant counterparties for redemptions, fees payment, money market placements for internally managed funds, foreign exchange trades and Collective Investment Schemes (“CIS”) related trades.- Ensure the settlement instructions are prepared accurately and in a timely manner.- Support internal and external stakeholders on relevant matters in relation to fund accounting by providing timely and satisfactory responses on all enquiries.- Perform proper and correct system setup for any new funds launched.- Perform User Acceptance Testing (“UAT”) to ensure proposed solution meets the fund accounting operational requirements.- Ensure the UAT is approved in a timely manner before implementation in production.
Fund Accounting Governance- Comply and adhere to the Standard Operating Procedures (“SOP”) for fund accounting processes and all internal controls are strictly applied in the day-to-day fund accounting operations.- Assist to develop Control Checklist for each fund accounting process to ensure SOP are strictly adhered to in the day-to-day fund accounting operations and assist to update the checklist as and when required.- Assist to identify areas for further improvement and enhancement to improve the internal controls’ effectiveness and team’s efficiencies. Ensure quality of documentation is in accordance to internal standards, policies and guidelines.- Ensure all fund accounting related documentations are properly saved in the designated shared drive for audit trail purpose.- Ensure compliance to all applicable accounting standards, regulatory requirements and guidelines and internal policies and procedures.
Others- Establish close and strong working relationships with internal (such as Investment team, Treasury and Cash Management team, Group Reporting team, Local Financial and Statutory Reporting team, internal auditor, etc.) and external (such as appointed service providers, custodians, fund managers, external auditors, fund accounting related vendors, etc.) stakeholders.- Assist to develop and recommend areas for enhancements and improvements for the current fund accounting system and processes to meet the challenges and needs of internal stakeholders.- Participate and assist to support local or regional initiatives or projects for any development, design and implementation of new processes, controls or systems in relation to fund accounting.
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