Fund Accounting

About

The Fund Accounting team at SGGG Fund Services Inc. is responsible for the accurate and timely calculation of net asset values (NAVs) for hedge funds, mutual funds, and private equity/debt funds. They ensure comprehensive financial reporting, reconciliation, and compliance with regulatory standards using the proprietary Diamond software. The team plays a crucial role in client success by maintaining precise financial records and delivering exceptional service for over 1,000 investment funds.


Two candidates
The Org
helps you hire
great candidates
It takes less than ten minutes to set up your company page.
It’s free to use - try it out today.