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Officer Fund Admin at HSBC

Setup
On-site
Location
Idaho
Type
Full-time
Level
senior
Posted

Description

The Fund Accountant will administer pension, mutual, and discretionary fund operations, execute fund manager and client instructions, perform daily accounting bookings and end-of-day net asset value valuations, check compliance, prepare tax provisions, and respond to client enquiries. The role requires six years of relevant accounting experience, knowledge of fund portfolio valuation and accounting procedures, fixed-income and equity securities settlement, and familiarity with Indonesian market and regulatory procedures.

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