Jobs in Crown Dependencies
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Audit
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Banking and financial services
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- Permanent 21
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Found 21 Audit, Banking and financial services jobs
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Senior Financial Account Manager
Direct responsibility for the Fund Solutions Accounting Team's bookkeeping and accounts preparation function.
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Consultant, Guernsey Investor and Client Compliance Services
Serves as a subject matter expert or other resource within a group for regulatory Compliance matters.
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Client Accountant - Isle of Man
You must be willing to relocate to the Isle of Man to apply We have a great role for a client accountant working for an independent CSP in the Sout...
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Senior Fund Officer, Private Equity
Providing a premier client service by building strong relationships with the Investment Advisor and any other third parties.
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Team Lead, Private Equity Accounting
Ensuring the completion of accurate complex fund valuations, distributions, calls/drawdowns, management fee, and other calculations.
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Senior Fund Accountant - Fund Services Jersey with a Focus on Real Estate
Develop an understanding of all entities within the fund structure, the nature of their transactions and reporting requirements.
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Fund Accounting Manager
Coordinating all new client setup activity as it relates to accounting responsibilities and reporting activity
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Fund Administrator (Private Equity)
Providing a premier client service by building strong relationships with the Investment Advisor and any other third parties.
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Senior Accountant
Preparing of client entities management accounts and financial statements under UK GAAP or IFRS.
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Fund Accountant
Assist with the bookkeeping and reporting of companies, funds and associated fund structures.
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Consultant, Private Equity
Undertaking a daily cash management process in line with a cash management policy and actioning ad-hoc cash management items as and when they arise.
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Manager/Senior Financial AccountManager
Meet financial targets in terms of budgeted chargeable hours, recovery rates and debtors.
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Client Compliance Manager & MLRO
Compliance Monitoring: Develop, update, and maintain client compliance monitoring plans.
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Sr Fund Accountant, Financial Reporting
Review of financial statements produced by more junior members of the Guernsey team and other teams to which Guernsey FR outsource work.
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Manager - Corporate Services
Provide technical support to the Corporate Services team administrators – and the wider CLS business as needed.
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Accounting Manager - Private Equity
You will have responsibility for the production of client reporting and checking of Fund NAV reports.
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Senior Accountant Fiduciary, Financial Reporting
Preparation of financial reporting for client entities including Trusts and Companies, in accordance with best practice, relevant reporting standards.
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Consultant, Board Servicing
Attend and take responsibility for the preparation of minutes for all board and committee meetings.
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Accounting Manager
You will be in charge of some internal fund projects and work closely with the fund administration IT systems to provide fund servicing solutions.
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Fund Services, Assistant Manager, CI
Work with Accounting team to provide back-up required for Audit purposes and assist with collation of data to meet audit deadlines.