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Tier-1 brand, metro location, and mid-level finance manager title create high candidate competition.
Specialized alternative investment fund accounting and regulatory knowledge limit cross-industry transferability.
Explicit 4+ post-qualification requirement plus mandatory fund accounting experience increases shortlisting strictness.
Implement and maintain operational and accounting procedures for Oaktree’s Singapore investment platform tailored to local requirements and consistent with company policies.
Manage accounting, operations, financial records, and statutory compliance for investment holding entities in Singapore and APAC, ensuring timely delivery of quarterly accounts, annual audits, and management reporting.
Coordinate with internal teams and external service providers for entity setup, investment structuring, funding, compliance, and process/system improvements.
At least 4+ years post qualification experience, preferably in private equity, private credit or investment management industry.
Excellent knowledge of current local accounting standards and statutory/regulatory requirements.
Strong Excel skills and hands-on experience with accounting systems and reporting tools.
Experience with Alternative Investment Funds and investment manager reporting/regulations in India is an advantage but not mandatory.
Experienced in managing complex investment platform operations involving multiple internal and external stakeholders.
Capable of handling end-to-end accounting, statutory compliance and reporting functions for alternative investment structures.
Comfortable working in dynamic finance and operations teams supporting investment, legal, tax and compliance functions across the APAC region.