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Supervisor, Fund Accounting; Private Markets​/Private Equity

Job in Winnipeg, Manitoba, A3C, Canada
Listing for: Mufg Investorservices
Full Time position
Listed on 2026-06-18
Job specializations:
  • Finance & Banking
    Financial Analyst, Accounting Manager, Financial Reporting, Accounting & Finance
  • Accounting
    Financial Analyst, Accounting Manager, Financial Reporting, Accounting & Finance
Salary/Wage Range or Industry Benchmark: 82500 - 121000 CAD Yearly CAD 82500.00 121000.00 YEAR
Job Description & How to Apply Below
Position: Supervisor, Fund Accounting (Private Markets / Private Equity )
Supervisor, Fund Accounting (Private Markets / Private Equity)   Full time
Rank:  Senior Associate

Employment Type:

Permanent Full Time
Compensation:  CAD 82,500 - CAD 121,000 - yearly
Responsibilities   The Junior Associate Director (Supervisor) will play a pivotal role in overseeing the delivery of fund administration services to private market clients, with a particular focus on private equity structures. In addition to maintaining accurate books and records and preparing financial and investor reporting, this role assumes supervisory responsibilities by reviewing the work of associate-level staff and providing mentorship to ensure quality and consistency.
The Junior Associate Director supports all accounting and operational aspects of clients serviced through the Investran platform and acts as a primary point of contact for clients, auditors, and internal teams, ensuring high‑quality service delivery and strict adherence to deadlines.
Review financial data received from Private Equity clients and load to our internal accounting systems.
Assist with setting up, preparing and reviewing consolidations through the investment structure using various consolidation rules.
Process payment of fund expenses in applicable banking system.
Book journal entries related to cash payments and accruals.
Prepare third‑party reconciliations of investments and cash.
Prepare capital call and distribution calculations and notices.
Prepare fee schedules including calculation of management fees and carried interest, ensuring all calculations observe applicable fund documents.
Prepare investor allocations for each NAV cycle ensuring capital transactions are booked correctly and P&L is allocated correctly.
Prepare NAV packages and other ad‑hoc deliverables as defined in the service level agreements.
Collaborate with client, banks, auditors and other third parties to ensure smooth delivery to clients and completion of deliverables.
Qualifications   Post‑secondary education/University Degree with a concentration in finance or accounting.
Some years of experience working in the fund administration industry with experience managing staff, including other administrators, investment managers or fund auditors.
Must be proficient with Microsoft Excel.
In‑depth understanding of the fund administration industry, including multiple fund structures, fee calculations, financial instruments and fund offering documentation review.
Professional accounting designation (CPA, ACCA, or equivalent) preferred or in progress.
Existing experience with fund accounting software Geneva, Investran or Yardi would be an asset.
Working knowledge of Bloomberg would be beneficial but is not required.

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