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Senior Accountant, Fund Finance (CONTRACT)

Esr Group · Singapore

AccountingSenior LevelQuick applycontractabout 1 month ago

About The Role

About ESR

ESR is a leading Asia-Pacific real asset owner and manager focused on logistics real estate, data centres, and energy infrastructure that power the digital economy and supply chain for investors, customers, and communities. Through our fully integrated real asset fund management and development platform, we strive to create value and growth opportunities for our global portfolio of investors. We offer our customers modern space solutions to realise their ambitions across Australia and New Zealand, Japan, South Korea, Greater China, Southeast Asia, and India, including a presence in Europe.

Role Overview

The Senior Accountant, Fund Finance is responsible for supporting the management of multiple private equity funds managed by ESR in terms of financial management, reporting, operations, compliance, budgeting and forecasting as well as providing support to senior management, investment professionals and transaction team on fund raising, investor relations, fund set-ups, deal structuring, acquisitions and dispositions.

Key Responsibilities

Financial Accounting and Reporting

Support the management and review of the day-to-day accounting and financial operations, monthly/quarterly/yearly closing, monthly/quarterly/yearly consolidations and preparations of all required financial reports of multiple private equity funds as well as all entities in the private equity funds (investment holding entities and property holding entities).

Support the management and review of the calculation of all relevant management fees, performance fees and carried interests.

Review vendors' invoices and vendor payments.

Prepare net asset value statements, capital account statements, financial statements, management reports and investor reports and ensure timely and accurate reporting.

Support statutory and other required audits with internal and external auditors.

Capital and Treasury Management

  • Support the management and review of capital calls, distributions and investor allocations.
  • Prepare fund cashflows, liquidity forecast and all financing arrangements to ensure all liquidity needs are met.
  • Support the management and review of fund transfers.
  • Support the management and review of equity tracking (capital commitments, contributions and distributions), carried interest accruals and ownership changes.
  • Support bank account opening, closing and management.

Process Improvements

  • Map key finance processes (e.g., close, reporting, invoice/payment workflows) to identify bottlenecks, rework, and control gaps.
  • Standardize SOPs/templates and implement clear responsibilities/ownership to reduce handoffs and ambiguity.
  • Improve data quality and governance: define “single source of truth,” strengthen reconciliation cadence, and implement exception-based reviews.
  • Drive small automation/enablement improvements (e.g., standardized checklists, workflow routing, dashboarding) to reduce manual effort.
  • Track and report improvement outcomes (cycle time reduction, fewer audit findings, fewer post-close adjustments).
  • System implementation
  • Support the migration of finance processes from SAP to Yardi, including requirements gathering, user testing, data validation, and go‑live readiness.
  • Assist with the onboarding and transition to a new accounting service BPO, including documentation of roles, responsibilities, and service workflows.
  • Coordinate with internal teams, IT, system vendors, and the BPO to ensure smooth implementation, clear handoffs, and issue resolution.
  • Support UAT, parallel runs, and post‑go‑live stabilisation, ensuring accuracy, timeliness, and adherence to agreed processes.
  • Contribute to process standardisation and continuous improvement, embedding appropriate controls and improving efficiency following system and BPO changes

Investor Relations Support

  • Work closely with fund management team or investor relations team to respond to investors' requests and due diligence questionnaires on financial matters.
  • Liaise, coordinate and plan with legal, compliance, company secretary, tax and external advisors as needed.

Business Partner

  • Support financial and tax due diligence.
  • Review financial and tax due diligence reports and prepare/review completion accounts for all deals.
  • Work closely with tax, company secretary and investment management to determine capitalisation structure of each entity.

Requirements

Academic and/or Professional Qualifications

Qualified accountant (CA/CPA/ACCA) with a minimum of 4 years of experience in private equity fund accounting, logistic real estate, data centre, infrastructure and one of the Big Four audit firms.

Mandatory Requirements

  • Strong understanding of IFRS, SFRS(I), financial regulations, and compliance requirements.
  • Demonstrated ability to manage multiple projects under tight deadlines while maintaining accuracy and work with third-party fund administrators and fund accountants.
  • Excellent analytical and problem-solving skills with keen attention to detail.
  • Strong interpersonal and communication skills, capable of effectively liaising with various stakeholders.
  • Ability to lead and mentor a team, driving performance and professional development.
  • Advanced proficiency in Excel.
  • Ability to work independently as well as collaboratively in a fast-paced environment.

Benefits

Grow with us – Career growth and learning

We believe our greatest strength lies in the growth and development of our team. From day one, we create an environment that builds confidence and lays the foundation for long-term success. Whether you’re launching your career or stepping into a leadership role, we provide the tools, learning opportunities, and personalised guidance to help you thrive.

More about career growth at ESR

Our values and purpose

Our values are the foundation of everything we do—shaping our performance, culture, and ambition. Our purpose is rooted in the pursuit of excellence across all areas of our business, with a focus on maintaining the highest standards of performance, accountability, and integrity.

When you join us, you commit to three core principles

We Do the Right Thing: Integrity is non-negotiable. We hold ourselves to the highest standards of accountability, ensuring that every financial decision and business move is ethical and transparent.

We Win as One Team: Our culture thrives on collective success. We break down functional silos to ensure that our ambitions are met through seamless collaboration and mutual support.

We Think Beyond the Present: We don’t just manage for the quarter; we build for the years to come. We challenge ourselves to look past immediate gains to secure long-term excellence and sustainable growth.

More about our values and purpose

Visit website

ESR Group is Asia-Pacific's leading New Economy real asset manager and one of the largest listed real estate investment managers globally. Our fully integrated fund management and development platform extends across Australia and New Zealand, Japan, South Korea, Greater China, Southeast Asia and India, including a presence in Europe. We provide investors with a diverse range of real asset investment and development solutions across private and public investment vehicles. Our focus on New Economy real assets offers customers modern solutions for logistics, data centres, and infrastructure and renewables. Our purpose, Space and Investment Solutions for a Sustainable Future, drives us to manage sustainably and impactfully for the communities where we operate and the spaces we develop to thrive for generations to come.

ESR Group is listed on The Stock Exchange of Hong Kong (HKSE: 1821.HK).

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