People Partners
US Investment Fund Accountant (K-1 & Reconciliations) | Onsite - Night Shift I ZR_1374_JOB
Eastwood, Quezon City, PHVor OrtUnbefristetVollzeit
Veröffentlicht am 25. Sept. 2026
Diese Stelle wird in EN ausgeschrieben
US Investment Fund Accountant (K-1 & Reconciliations) | Onsite - Night Shift
About PeoplePartners
At PeoplePartners, you’re not just taking on a role — you’re stepping into a career with real momentum.
Work Details
About PeoplePartners
- At PeoplePartners, we’re all about building careers that actually go somewhere. As a Great Place to Work certified company, we’ve created a people-first culture where growth isn’t just encouraged — it’s expected.
- Work with global clients, gain real international exposure, and be part of a team that values collaboration, ownership, and continuous learning. We keep things human, dynamic, and forward-thinking — because great work happens when people feel supported and inspired.
- If you’re looking for a place where your ideas matter and your career accelerates, you’ll feel right at home here.
- You’ll work closely with a Senior Accountant, supporting fund accounting activities while building real expertise in hedge fund operations.
- Expect variety, responsibility, and the chance to grow fast.
- Review and reconcile financial data across reports and bank statements.
- Spot inconsistencies and investigate discrepancies.
- Support preparation of U.S. K1 financial statements.
- Assist with audit documentation and compliance task.
- Manage Accounts Payable and Receivable processes.
- Prioritize tasks independently in a dynamic, changing environment.
Requirements
Required Qualifications (Must-Have):- Strong general accounting skills, including Accounts Payable and Accounts Receivable management
- Proficient in Microsoft Excel, Outlook, and QuickBooks (or similar accounting software)
- Experience in audit assistance and documentation.
- Ability to prepare U.S. K-1 financial statements (full 14-page version).
- Comfortable navigating spreadsheets, email systems, and in-house databases (e.g., Microsoft Access).
- Knowledge of hedge fund or investment fund accounting principles.
- Able to review and reconcile client balance sheets, internal reports, and bank statements.
- Strong organizational skills and ability to prioritize tasks independently.
- Familiarity with AI tools for research or accounting verification.
- Experience with Excel formulas for financial modeling and reporting.
- Exposure to networked filing systems (H drive, P drive, etc.) for document management.
- Experience working under a senior or head accountant.
- Understanding of performance fee allocations and investor allocation processes.
- Knowledge of NAV calculations, high-water marks, and other hedge fund industry practices.
- Prior experience in investment fund accounting or hedge fund operations.
At PeoplePartners, you’re not just taking on a role — you’re stepping into a career with real momentum.
- Work with innovative global tech clients.
- Be part of a Great Place to Work certified company.
- Thrive in a people-first, collaborative culture.
- Access continuous learning and development opportunities.
- Join engaging team activities and a supportive community.
- Build a long-term career with growth opportunities.
- Enjoy the flexibility of a fully remote setup.
Work Details
- Work Setup: Onsite
- Schedule: Monday to Friday
- Hours: Night-shift (EST)
- Employment Type: Full-time
Benefits
- PHP 3,000.00 - Monthly Transportation Allowance.
- Company-provided equipment.
- Night Differential Pay.
- Secondary Wi-Fi Modem.
- 21 Leave Credits Annually - Leave benefits begin on Day 1.
- 100% conversion of UNUSED leave credits
- HMO on Day 1.
- 13th Month Pay.
- Monthly Gift Voucher.
- Milestone Tokens (Birthday/Anniversary/Christmas).
- A Life Beyond the Screen #WorkLifeBalance.
- Active employee engagements physically such as Christmas Party & Team Building, and virtual events such as town-hall with prizes.
Rollenübersicht
Jobart
Vollzeit
Erforderliche Kompetenzen
Accounts Payable ManagementAccounts Receivable ManagementFinancial Statement Reconciliation (client balance sheets, internal reports, bank statements)Preparation of U.S. K-1 Financial Statements (full 14-page)Audit Assistance and DocumentationMicrosoft Excel (including formulas for financial modeling and reporting)QuickBooks or Similar Accounting SoftwareMicrosoft Outlook and Email SystemsMicrosoft Access / In-house DatabasesHedge Fund / Investment Fund Accounting PrinciplesNAV Calculations and High-Water Mark CalculationsPerformance Fee Allocations and Investor Allocation ProcessesTask Prioritization and Organizational SkillsFamiliarity with Networked Filing Systems (H drive, P drive, etc.)Familiarity with AI Tools for Research or Accounting Verification
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