
Private Capital Fund Finance - Associate
- Toronto, ON
- Permanent
- Full-time
- Build and maintain relationships with clients, both distributors and underlying fund managers, fund administrators, and other service providers.
- Work closely with other iCapital internal teams such as Fund Origination, Investor Relations, Legal, Regulatory and Compliance, Technology, Sales, and Marketing to support ongoing fund operations.
- Provide review and control function for NAV packages, capital events, and management fee calculations provided by the fund administrator.
- Monitor cash positions and liquidity of investments, review cash reconciliations, and manage cash reserves.
- Run accounts payable and expense allocation processes.
- Maintain investor and investment data in the iCapital platform using proprietary technology tools.
- Define, update, and maintain operating policies and procedures.
- Liaise with funds' custodians and funds' banks, as well as other counterparties as needed.
- Fulfill ad-hoc requests.
- Bachelor's degree in Accounting, Finance or Economics
- Interest in learning fund accounting, fund administration, or finance operations for alternative investment funds including fund-of-funds and feeder funds
- Advanced Excel skills
- Willingness to work within a close team structure on all tasks
- Excellent organizational skills and attention to detail
- Able to multi-task, and work both independently and as a team player in a fast-paced, demanding environment
- Strong verbal, written, and interpersonal communication skills
- High level of integrity
- Passion for the application of innovative technology
- Eager to learn new topics and work in an evolving business environment