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coni+partner AG

Fund Accountant

coni+partner AG

Fund Accountant at coni+partner AG managing transaction entries and NAV evaluations for investment funds. Responsible for financial reporting and stakeholder communication in a hybrid work setting.

Posted 6/20/2026full-timeZürich • 🇨🇭 SwitzerlandMid-LevelSeniorWebsite

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Hard Skills
fund accountingfinancial statements preparationnet asset value (NAV) calculationreconciliationIFRSsecurities administrationlegal and regulatory requirementsdata maintenancefee managementbanking software
Soft Skills
analytical personalityquality awarenessteam playerinitiativecommunication skillsorganizational skills
Tools & Technologies
MS Officereporting toolsbanking software
Certifications & Qualifications
Bachelor's degree in Banking & FinanceBachelor's degree in Business Administration
Industry Keywords
Private Market fundshedge fundsinfrastructurecommoditiesfund lifecyclefund launchesfund splitsfund mergersfund closuresstakeholder communication

About the role

Key responsibilities & impact
  • Responsible for accurately recording all transactions in fund accounting, such as interest, dividends and capital measures for Private Market funds, hedge funds, infrastructure and commodities
  • Preparation of quarterly and annual financial statements as well as legally required annual and quarterly reports
  • Ongoing calculation and valuation of net asset value (NAV), including manual recalculation and verification of fund prices
  • Responsible for booking positions and fund movements and for ongoing reconciliation of investment books, cash balances and custody accounts with the respective custodians
  • Accounting support throughout the fund lifecycle, such as fund launches, splits, mergers or fund closures
  • Participation in master data maintenance as well as controlling fee management and price/publication of prices
  • Responsible for professional communication with internal and external stakeholders, timely processing of enquiries and documenting and evidencing services provided
  • Participation in IT projects such as release upgrades, automation or optimization of processes, including testing
  • Ad hoc projects for senior management.

Requirements

What you’ll need
  • HF or Bachelor's degree in Banking & Finance or Business Administration
  • Professional experience in a bank or with a fund manager
  • Knowledge of fund accounting or securities administration and the main legal and regulatory requirements in the fund sector
  • Solid knowledge of IFRS
  • Analytical personality with high quality awareness
  • Team player with a high degree of initiative
  • Strong communication and organizational skills
  • High IT affinity, interest in banking software, reporting tools and technologies
  • Professional proficiency with MS Office
  • German and English

Benefits

Comp & perks
  • Healthcare
  • Retirement provision
  • Flexible working hours