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HomeCompaniesHarmonicfundservicesAssistant Manager - Fund Accounting

Assistant Manager - Fund Accounting

Harmonicfundservices · George Town, Grand Cayman, KY1-1102, Cayman Islands · Deleted · BambooHR

Job facts

FieldValue
CompanyHarmonicfundservices
TitleAssistant Manager - Fund Accounting
Normalized title-
Department / teamClient Services
LocationGeorge Town, Grand Cayman
Work model-
Employment typeFull Time
Salary-
Statusdeleted
ATS providerBambooHR
Posted / first seen2026-05-26 / 2026-05-30
Changed / last seen2026-06-10 / 2026-06-08

Related slices

PageWhat it containsOpen
Company jobsActive postings from Harmonicfundservices.Open
Company breakdownsRole, location, ATS, and work model facets for this company.Open
ATS provider jobsActive postings observed through BambooHR.Open
Provider filtered searchThe same provider as a filtered job collection.Open
City jobsActive postings in George Town.Open
Department jobsActive postings in Client Services.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyHarmonicfundservices
Source24e8728e-7055-44bb-8e5d-ec4d9e2d33ef
ATS providerBambooHR

Description

Job Summary: The Assistant Manager – Fund Accounting will be responsible for the Fund Administration of complex investment funds including portfolio valuation and Net Asset Value ("NAV") in a reviewer role; reviewing and assisting with the preparation of the financial statements; liaising with investors and investment managers as well as assisting with systems development and other ad hoc projects as required.  In addition, other responsibilities will include client relationship management; new business integration, assisting with training of Fund Accountants and meeting the very tight reporting deadlines and demanding obligations of our clients. . Essential Functions NAV’s Review and understand the fund's offering memorandum and verify that offering memorandum agrees to fund set up and ensure ongoing operations adhere to offering memorandum details Liaise with investment managers, prime brokers and custodians in relation to trading activity as required for transaction processing and NAV preparation Review the NAV for a portfolio of complex investment funds on either a weekly, bi-weekly, monthly, and/or quarterly basis as specified by the client and as outlined in the administration agreement, which includes, among other things Review all cash items whether portfolio related, capital transactions or from non-portfolio and other income and expense items Review three-way reconciliation of cash and assets/liabilities to the investment managers and custodians (frequency depending on trading activity of the fund Review independent third-party pricing support where needed (i.e. from Bloomberg) Review and validate the partner/shareholder allocation calculations, including management and incentive fee calculations and the allocation of feeder specific income and expenses Review Estimated and Final NAV as required Client Relationship Management Liaise with clients, investors, investment managers and other stakeholders as needed Projects Participate in special projects Assist with System Development Reporting Prepare and/or review monthly, quarterly and annual financial reports Assist in preparation and/or review of group level reporting Audit Liaise with the fund’s auditors at year end and interim periods to ensure sufficient information is provided to facilitate the timely completion of controls testing and substantive work to the auditors’ satisfaction Complete audit confirmation requests Capital Events Review allocations for fund investors Review the letters to be sent to fund investors New Business Acquire or assist in new business conversions and reconciliation Financial Statements Review and where necessary assist in the preparation of fund audited financial statements Understand fund agreements to determine impact on financial reporting Compliance Monitor and ensure that the AML checks are being carried out in accordance with the procedures and legislation in force. This includes compliance with Performance of general administration relating to private equity funds Respond to Investor due diligence requests Fees Review recurring fees as set out in various agreements (i.e. management & administration fee agreements) Review fees and expenses on behalf of the clients as directed by Administration Agreement and wire funds to third party service providers such as lawyers and auditors Quality Assurance Testing Conduct quality assurance testing following defined practices and procedures Conduct testing according to standards agreed upon by Harmonic and IT Make recommendations for updates Managerial Responsibilities Assist with training of Fund Accountants and Senior Fund Accountants. Conduct performance reviews for direct reports Other Responsibilities Other job functions as required Performance of general administration relating to client funds Job Qualifications A university graduate with a professional accounting qualification (CA, CPA, CGA, CMA or equivalent) 3+ years’ experience in a similar role working with complex securities and derivatives products KNOWLEDGE, SKILLS & ABILITIES REQUIRED High level of expertise and technical knowledge of alternative investment products, the offshore financial services industry including system technology, portfolio valuation, accounting, share transfer and registration, prime brokerage, financing and custody A sound working knowledge of all Windows applications and ideally, knowledge of fund accounting applications Self-driven attitude and a strong work ethic Demonstrate a keen attention to detail Experience of relationship management and client service Excellent time management, organizational and prioritization skills Excellent interpersonal skills and strong team orientation Excellent communication skills, both verbal and written

Full job record

Job ID8d4963320246aa1c34a9f3de4050143622217c0f
Org IDb02d7c33-b20b-42d5-b80d-0e25cfa4dd08
Source ID24e8728e-7055-44bb-8e5d-ec4d9e2d33ef
Board ID24e8728e-7055-44bb-8e5d-ec4d9e2d33ef
Providerbamboohr
Provider Job Key151
TitleAssistant Manager - Fund Accounting
Normalized Title
Statusdeleted
Activeno
Location TextGeorge Town, Grand Cayman, KY1-1102, Cayman Islands
DepartmentClient Services
Team
Employment Typefull_time
Workplace Type
Remote Policy
Country
RegionGrand Cayman
CityGeorge Town
Salary Raw
Salary Min
Salary Max
Salary Currency
Salary Period
Source URLhttps://harmonicfundservices.bamboohr.com/careers/151
Apply URLhttps://harmonicfundservices.bamboohr.com/careers/151
First Seen At2026-05-30 05:44:39Z
Last Seen At2026-06-08 10:14:32Z
Last Checked At2026-06-10 09:28:37Z
Last Changed At2026-06-10 09:28:37Z
Inactive At2026-06-10 09:28:37Z
Source Posted At2026-05-26 00:00:00Z
Source Updated At
Raw Payload Uris3://job-postings-prod-raw-590183727216/raw/provider=bamboohr/board=harmonicfundservices/date=2026-06-08/2026-06-08T10-14-31-084Z-82dd16964cfba4e26badc52376b277502860b91a6c76f1f67b2eb1fcb73230a5.json
Event Fields
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Parsed Structured
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Extensions
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Native Structured
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    "description": "<p><span style=\"font-weight: bold\">Job Summary:</span></p>\n<p>The Assistant Manager – Fund Accounting will be responsible for the Fund Administration of complex investment funds including portfolio valuation and Net Asset Value (\"NAV\") in a reviewer role; reviewing and assisting with the preparation of the financial statements; liaising with investors and investment managers as well as assisting with systems development and other ad hoc projects as required.  In addition, other responsibilities will include client relationship management; new business integration, assisting with training of Fund Accountants and meeting the very tight reporting deadlines and demanding obligations of our clients.</p>\n<p>.</p>\n<p> <br><span style=\"font-weight: bold\">Essential Functions</span></p>\n<p>NAV’s</p>\n<ul>\n<li>Review and understand the fund's offering memorandum and verify that offering memorandum agrees to fund set up and ensure ongoing operations adhere to offering memorandum details </li>\n<li>Liaise with investment managers, prime brokers and custodians in relation to trading activity as required for transaction processing and NAV preparation</li>\n<li>Review the NAV for a portfolio of complex investment funds on either a weekly, bi-weekly, monthly, and/or quarterly basis as specified by the client and as outlined in the administration agreement, which includes, among other things</li>\n<li>Review all cash items whether portfolio related, capital transactions or from non-portfolio and other income and expense items</li>\n<li>Review three-way reconciliation of cash and assets/liabilities to the investment managers and custodians (frequency depending on trading activity of the fund</li>\n<li>Review independent third-party pricing support where needed (i.e. from Bloomberg)</li>\n<li>Review and validate the partner/shareholder allocation calculations, including management and incentive fee calculations and the allocation of feeder specific income and expenses</li>\n<li>Review Estimated and Final NAV as required</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Client Relationship Management</span></p>\n<ul>\n<li>Liaise with clients, investors, investment managers and other stakeholders as needed</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Projects</span></p>\n<ul>\n<li>Participate in special projects</li>\n<li>Assist with System Development</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Reporting</span></p>\n<ul>\n<li>Prepare and/or review monthly, quarterly and annual financial reports</li>\n<li>Assist in preparation and/or review of group level reporting</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Audit</span></p>\n<ul>\n<li>Liaise with the fund’s auditors at year end and interim periods to ensure sufficient information is provided to facilitate the timely completion of controls testing and substantive work to the auditors’ satisfaction</li>\n<li>Complete audit confirmation requests</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Capital Events</span></p>\n<ul>\n<li>Review allocations for fund investors</li>\n<li>Review the letters to be sent to fund investors</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">New Business</span></p>\n<ul>\n<li>Acquire or assist in new business conversions and reconciliation</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Financial Statements</span></p>\n<ul>\n<li>Review and where necessary assist in the preparation of fund audited financial statements</li>\n<li>Understand fund agreements to determine impact on financial reporting</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Compliance</span></p>\n<ul>\n<li>Monitor and ensure that the AML checks are being carried out in accordance with the procedures and legislation in force. This includes compliance with Performance of general administration relating to private equity funds</li>\n<li>Respond to Investor due diligence requests</li>\n</ul>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Fees</span></p>\n<ul>\n<li>Review recurring fees as set out in various agreements (i.e. management &amp; administration fee agreements)</li>\n<li>Review fees and expenses on behalf of the clients as directed by Administration Agreement and wire funds to third party service providers such as lawyers and auditors</li>\n</ul>\n<p> </p>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Quality Assurance Testing</span></p>\n<ul>\n<li>Conduct quality assurance testing following defined practices and procedures</li>\n<li>Conduct testing according to standards agreed upon by Harmonic and IT</li>\n<li>Make recommendations for updates</li>\n</ul>\n<p><br></p>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Managerial Responsibilities</span></p>\n<ul>\n<li>Assist with training of Fund Accountants and Senior Fund Accountants.</li>\n<li>Conduct performance reviews for direct reports</li>\n</ul>\n<p><br></p>\n<p><span style=\"font-weight: bold\">Other Responsibilities</span></p>\n<ul>\n<li>Other job functions as required </li>\n<li>Performance of general administration relating to client funds</li>\n</ul>\n<p><br></p>\n<p><span style=\"font-size: 12pt; font-weight: bold\">Job Qualifications</span></p>\n<ul>\n<li>A university graduate with a professional accounting qualification (CA, CPA, CGA, CMA or equivalent)</li>\n<li>3+ years’ experience in a similar role working with complex securities and derivatives products</li>\n</ul>\n<p><br></p>\n<p><span style=\"font-weight: bold\">KNOWLEDGE, SKILLS &amp; ABILITIES REQUIRED</span></p>\n<ul>\n<li>High level of expertise and technical knowledge of alternative investment products, the offshore financial services industry including system technology, portfolio valuation, accounting, share transfer and registration, prime brokerage, financing and custody</li>\n<li>A sound working knowledge of all Windows applications and ideally, knowledge of fund accounting applications</li>\n<li>Self-driven attitude and a strong work ethic</li>\n<li>Demonstrate a keen attention to detail</li>\n<li>Experience of relationship management and client service</li>\n<li>Excellent time management, organizational and prioritization skills</li>\n<li>Excellent interpersonal skills and strong team orientation</li>\n<li>Excellent communication skills, both verbal and written </li>\n</ul>",
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}
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