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Job Description
About the Role:
At Bolder Group, we take pride in our dynamic and forward-thinking approach, committed to delivering exceptional business support that enhances client satisfaction. Our mission is to streamline operations and elevate service delivery to address the diverse needs of our clients. We are currently in search of a meticulous and proactive Fund Accountant to join our team—someone ready to contribute to our continued success and uphold our high standards of service excellence.
Key Responsibilities:
- Responsible for calculating the net asset values of investment funds by processing daily.
- Accounting-related functions to ensure fund prices are accurate.
- Reconcile positions and cash against the reports of brokers/custodians.
- Calculate the management and performance fee.
- Make payment instructions for the various funds and correspondences with the investment manager, shareholders, auditors, lawyers, and banks.
- Calculate expense accruals and prepare audited financial statements.
- Ensure that the Fund is compliant with the procedures, policies, and controls, and that the activities of the Fund are in line with the prospectus.
- Review the fund activity and valuations to ensure the accuracy of NAV and yield calculations.
- Ensure the fund books and records are reconciled and that periodic reviews are completed.
- Set up new funds or changes in the fund structure, like liquidations or side pockets.
- Be the main contact for the investment managers and other relevant parties, such as directors, lawyers, auditors, banks, brokers/custodians, and shareholders.
Job Requirements:
- Bachelor’s degree in Finance, Accounting, or a closely related field.
- At least 1 year of Fund Accounting experience.
- Understanding of financial statements, financial markets, and investment products.
- Advanced skills in Microsoft Excel, including data analysis, pivot tables, chart creation, and complex formulas/functions.
- Proven ability to manage multiple priorities, meet deadlines, and maintain accuracy under pressure with strong attention to detail.
Why Join Us?:
We foster a supportive and flexible work environment that encourages both personal and professional growth. As part of our collaborative team, you will be valued for your contributions and have access to ample opportunities for success. We believe in empowering our employees and creating an atmosphere where everyone can thrive.
Perks and Benefits:
- Health Coverage: HMO coverage effective on your first day, with one free dependent added upon hire.
- Life Insurance: Coverage begins on your first day of employment.
- Leave Entitlement: 15 pro-rated leave credits from your hire date, increasing to 20 pro-rated leave credits after two years of service.
- ACCA-Approved Employer: Work with an ACCA-approved employer.
Work Location and Setup:
- Hybrid Arrangement: Work from home two days a week; on-site three days a week. Arrangement effective upon regularization.
- Work Hours: Standard Philippine business hours (Monday to Friday, 9:00 AM - 6:00 PM), with flexibility to align with European time zones when needed.
- Office Location: Bolder Philippines, 8th Floor, Tower 1, Clark City Front, MA Roxas, Clark Freeport Zone, Pampanga
Key Responsibilities
Calculate net asset values of investment funds by processing daily.
Ensure fund prices are accurate through accounting-related functions.
Reconcile positions and cash against broker and custodian reports.
Calculate management and performance fees.
Make payment instructions and correspond with investment managers, shareholders, auditors, lawyers, and banks.
Calculate expense accruals and prepare audited financial statements.
Ensure fund compliance with procedures, policies, and prospectus requirements.
Review fund activity and valuations to ensure accuracy of NAV and yield calculations.
Reconcile fund books and records and complete periodic reviews.
Set up new funds or changes in fund structure such as liquidations or side pockets.
Serve as the main contact for investment managers and relevant parties.
Requirements
Bachelor’s degree in Finance
Accounting
or a closely related field
Skills Required
Fund AccountingMicrosoft ExcelFinancial StatementsFinancial MarketsInvestment ProductsData AnalysisPivot TablesChart CreationComplex FormulasAttention to detailTime managementAbility to work under pressureCommunication
Benefits
HMO coverage
Life Insurance
Leave Entitlement
ACCA-Approved Employer
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