Help shape the daily accuracy and integrity of fund valuations that clients rely on. In this role, you’ll sit at the center of the net asset value (NAV) production lifecycle, partnering across teams to resolve issues, strengthen controls, and improve outcomes. You’ll gain exposure to a broad range of alternative investment structures and complex instruments. You’ll also have the opportunity to build trusted relationships with stakeholders and contribute to continuous process improvement. Join us to do high-impact work in a collaborative, high-quality environment.
Job Summary:
As a Fund Accounting Associate (AVP) in the Fund Accounting team, you will oversee the NAV production process and help ensure accurate and timely NAV calculations in line with established procedures. You will partner closely with colleagues and managers to investigate and resolve issues to completion. You will collaborate across functions, including Investor Relations, Compliance, Internal Audit, Private Equity and Real Estate, and second line of defense partners. You will contribute to a strong control environment and help evolve the end-to-end NAV operating model. You will deliver a client-focused experience by building effective working relationships with stakeholders, clients, and third parties.
Job Responsibilities
Required Qualifications, Capabilities, and Skills
Preferred Qualifications, Capabilities, and Skills
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