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Accountant - Assistant Vice President
Престижная позиция уровня AVP в быстрорастущей финтех-компании с отличным соцпакетом (100% оплата страховки) и гибридным графиком. Лиссабон является привлекательным хабом для финансовых специалистов.
Сложность вакансии
Роль требует 3-5 лет специфического опыта в учете фондов и глубоких знаний альтернативных инвестиций. Высокий уровень ответственности (AVP) и необходимость взаимодействия с регуляторами (SEC, FINRA) повышают порог входа.
Анализ зарплаты
Зарплата для позиции AVP в Лиссабоне в международной компании обычно выше среднего по рынку Португалии. Учитывая бонусы и акции, совокупный доход будет конкурентоспособным для финансового сектора Европы.
Сопроводительное письмо
I am writing to express my strong interest in the Accountant - Assistant Vice President position at iCapital. With over 4 years of experience in fund accounting and a deep understanding of alternative investment vehicles, I am confident in my ability to manage complex financial reporting and operational workflows for your hedge and private equity fund of funds. My background includes extensive collaboration with third-party administrators and a proven track record of ensuring compliance with SEC and FINRA requirements.
I am particularly drawn to iCapital’s commitment to leveraging innovative technology to scale fund operations. In my previous roles, I have consistently sought ways to automate key processes and enhance reporting efficiency using advanced Excel and accounting frameworks. I am eager to bring my detail-oriented approach and passion for the fintech space to your Lisbon team, contributing to the seamless onboarding of new funds and the maintenance of high-quality investor relations.
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Присоединяйтесь к лидеру в сфере альтернативных инвестиций и развивайте свою карьеру в динамичной среде iCapital в Лиссабоне!
Описание вакансии
About the Role
This position is a “hands-on” role with operational responsibility for servicing hedge and private equity fund of fund and access fund vehicles (the “funds”) in conjunction with third-party administrators, managing all fund accounting and financial reporting to investors, including capital activity, partner capital statements, annual audited financials, and tax deliverables.
Responsibilities
- Build and maintain relationships with underlying fund managers, fund administrator and distributors
- Design and implement processes and procedures for servicing the funds. Work in close partnership with the management team to enhance and automate key processes, and to develop and enhance product, management, and other reporting, targeting both efficiency and scale
- Work closely with investor relations, product, legal and compliance, technology, and sales & marketing teams to support fund operations
- Participate in new fund structuring, set up and onboarding
- Provide oversight of fund administrators and other service providers, such as auditors, tax service providers, and custodians
- Monitor cash positions and liquidity of investments, reconciliations and manage cash reserves
- Run accounts payable and expense allocation process
- Define, update and maintain operating policies and procedures
- Liaise with funds’ custodian and funds’ bank, as well as other counterparties as needed
- Work with counsel/CCO to ensure general compliance with fund docs as well as regulatory filings and requirements such as SEC and FINRA
- Ad-hoc activities as required by the team and different parts of the organization
Qualifications
- Bachelor’s degree in Accounting, Finance, Economics, Statistics or another business-related field
- 3-5 years of fund accounting, fund administration or finance operations experience (prefer a focus on alternative investment funds including fund-of-funds and feeder funds, but not necessary).
- Passion for the application of innovative technology
- Advanced accounting skills, with a preference for experience within an audit framework
- Advanced Excel skills
- Demonstrated capacity and willingness to work within a close team structure on all tasks
- Excellent organizational skills and attention to detail
- Proven ability 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
- Willingness to learn new topics and work in an evolving business environment
- Organized and detail-oriented with ability to see the big picture
We believe the best ideas and innovation happen when we are together. Employees in this role will work in the office 3 days a week with the flexibility to work remotely 2 days.
Benefits
iCapital offers a comprehensive benefits package that includes a total compensation program consisting of competitive salary, annual performance bonus, and equity for all full-time employees; healthcare with 100% employer-paid health and dental insurance.
For additional information on iCapital Network, please visit https://www.icapitalnetwork.com/about-us Twitter: @icapitalnetwork | LinkedIn: https://www.linkedin.com/company/icapital-network-inc
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Навыки
- Accounting
- Finance
- Fund Accounting
- Excel
- Financial Reporting
- Audit
- Private Equity
- Hedge Funds
- SEC Reporting
- FINRA Compliance
Возможные вопросы на собеседовании
Проверка понимания специфики работы с фондами фондов и фидерными структурами.
Опишите ваш опыт работы с отчетностью для структур Fund-of-Funds и каков был ваш процесс сверки данных от сторонних администраторов?
Оценка навыков оптимизации процессов, упомянутых в описании.
Приведите пример, когда вы успешно автоматизировали или улучшили процесс финансовой отчетности. Какие инструменты вы использовали?
Проверка знаний регуляторной среды.
С какими конкретными требованиями SEC или FINRA вы сталкивались при подготовке отчетности для альтернативных инвестиционных фондов?
Оценка навыков управления ликвидностью.
Как вы подходите к мониторингу денежных позиций и управлению резервами наличности в условиях активной инвестиционной деятельности фонда?
Проверка гибкости и умения работать в команде.
Как вы расставляете приоритеты при одновременном выполнении задач по аудиту, налоговым декларациям и текущим операционным запросам инвесторов?
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