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Associate Manager, Private Markets

External
SS&C Technologies logoSs&c Technologies · Singapore
Full-timeHybridToday
ClassificationComplianceDocumentationExcelWaterfall
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Requirements

  • A Bachelor's degree in Accounting or related field
  • At least 4+ years of relevant experience working within fund accounting, preferably within Private Equity or Big 4 Audit Firm.
  • Deadline oriented with ability to complete assigned tasks independently
  • Ability to multi-task and work in a fast-paced environment
  • Excellent interpersonal and communication skills
  • Proficiency in Microsoft Office suite, with emphasis on Excel skills
  • Team player
  • We encourage applications from people of all backgrounds to enable us to bring diverse perspectives to our thinking and conversation. It's important to us that we strive to have a workforce that is diverse in the widest sense.
  • Thank you for your interest in SS&C! If applicable, to further explore this opportunity, please apply directly with us through our Careers page on our corporate website @ www.ssctech.com/careers.
  • Unless explicitly requested or approached by SS&C Technologies, Inc. or any of its affiliated companies, the company will not accept unsolicited resumes from headhunters, recruitment agencies, or fee-based recruitment services.
  • Applications will be accepted on an ongoing basis until the position is filled.

Benefits

Health insuranceDental insuranceVision insurancePaid time offFlexible scheduleEquity / stock optionsPerformance bonusParental leave

Additional Information

As a leading financial services and healthcare technology company based on revenue, SS&C is headquartered in Windsor, Connecticut, and has 27,000+ employees in 35 countries. Some 20,000 financial services and healthcare organizations, from the world's largest companies to small and mid-market firms, rely on SS&C for expertise, scale, and technology. Job Description Associate Manager, Private Markets Locations: Singapore | Hybrid Get To Know Us: SS&C GlobeOp is a leading provider of cloud-based fund services, technology and mobility-enabled infrastructure for hedge funds, fund of funds, private equity, and managed accounts With a base of fund strategies that include fixed income, volatility and active trading, we offer: Middle office, accounting and management products - Tax services for hedge funds, fund of funds and private equity funds - Derivatives processing, valuations agent, syndicated bank loans processing - Regulatory and analytics services - Managed services IT/data center and business process outsourcing - All available on a stand-alone basis to institutional clients Why You Will Love It Here! Flexibility: Hybrid Work Model and Business Casual Dress Code, including jeans, Centralized location - 2 minutes' walk from Raffles Place MRT Work/Life Balance: Flexible Personal/Vacation Time Off, Sick Leave, Paid Holidays Your Wellbeing: Medical, Dental, Vision, Employee Assistance Program, Parental Leave and Well-Stocked Pantry Diversity & Inclusion: Committed to Welcoming, Celebrating and Thriving on Diversity Training: Hands-On, Team-Customized, including SS&C University Education: Paid further education opportunities for employees who are eligible Extra Perks: Bonus Scheme, SS&C Stock(s) Allocation for employees who are eligible What You Will Get To Do: Contribute towards a team covering one or more client relationships Deliver accurate and timely work product within specified timelines, and in coordination with other team members Demonstrate strong knowledge of accounting, specifically with respect to alternative investment funds, with a focus on private equity Review all transaction documentation and supporting files, and understand the features of the investment transactions, accruals, etc. Review work paper files for accuracy and completeness, including capital activity, investment activity, income and expense accruals, valuation adjustments, etc. Prepare/ review management fee calculations, update distribution waterfall (carried interest) models in line with the applicable fund terms Review investor allocations and capital account statements Review capital call and distribution calculations, sources/uses of cash, allocations, and investor notices Review financial statements, notes disclosures, and supporting schedules Manage the year-end audit process, in collaboration with the client, and auditors Handle daily/routine client information requests Provide guidance and direction to junior staff on all technical and client-service-related topics Where applicable, support the tax team with information to prepare tax compliance/reports Support corporate goals and business/departmental initiatives


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