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ICM Asset Management ICM Asset Management
  • Funds
    • ICM U.S. Co-Investment Real Estate III LP
    • ICM Crescendo Music Royalty Fund
    • ICM Bluebird Canadian Self Storage Fund
    • ICM Real Estate Income Strategies Fund
  • Platforms
    • Real Estate
    • Music Royalties
    • Private Credit
    • Venture Capital
  • Who We Serve
    • Institutional Investors
    • Financial Advisors
    • Family Offices
  • About
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Fund Accountant

Calgary  |  Contract – 12 months, Full time
  • Careers
  • Fund Accountant

ICM Asset Management is an alternative asset manager focused on owning, operating and investing in real assets. We offer retail, private client and institutional investors an array of investment opportunities focused on real estate, private equity, private debt and infrastructure strategies.

We are seeking a Fund Accountant to support the accounting and reporting requirements of multiple investment funds with varying legal structures, including trusts, limited partnerships, and corporations. This role is well suited for a detail-oriented accounting professional who thrives in a collaborative, fast-paced environment.

This opportunity is based in Calgary, Alberta and will be reporting to the Manager, Fund Accounting.

Key Responsibilities:

  • Enter transfer and wire payments in online banking system.
  • Code invoices payable with proper entity code and general ledger account code.
  • Enter receivables in accounting system, including investor deposits and distributions from investments.
  • Post general journal entries in accounting system (i.e. book transfers/wires, deposits from investors, etc.).
  • Review of calculation, and payment of investor distributions (DRIP and cash) on a monthly basis.
  • Review of calculation, and payment of redemptions on a monthly basis.
  • Review of calculation, and payment of trailer fees on a quarterly basis.
  • Review of calculation, and payment of commissions on a monthly basis.
  • Review new investor information (name, address, banking information, etc.) in accounting system.
  • Tracking and reporting on offering costs for all funds currently in the market on a monthly basis.
  • Prepare monthly and/or quarterly reports (including trial balance summary, bank reconciliations, accounts receivable and accounts payable subledger reconciliation, units outstanding reconciliation, etc.) for fund entities.
  • Prepare weekly cash availability reports, including performing bank reconciliations.
  • Responding to various requests to support Client Service, Legal and Finance teams.
  • Update investor data in accounting system as required and reconcile accounting system data with investor platform data.
  • Coordinate with various audit teams and provide support as needed on an annual basis, including interim work as required.
  • Coordinate with tax teams, including preparation of T3, T5013 slip data and Partners’ Capital Accounts on an annual basis.
  • Assist the tax team for any ad-hoc requests/tax audits.
  • Review of any aforementioned items or schedules prepared by other team members as needed.
  • Assist with accounting software system conversion, as necessary.
  • Any other tasks that the management team may request of the Fund Accountant.

Your Qualifications:

  • Bachelor’s degree in Accounting, Finance, or a related discipline.
  • CPA designation or active enrollment in the CPA Professional Education Program.
  • 1–3 years of relevant accounting experience; exposure to fund accounting or financial services is an asset.
  • Strong proficiency in Microsoft Excel and Word.
  • High level of accuracy and attention to detail, with the ability to meet tight deadlines.
  • Strong written and verbal communication skills.
  • Well-developed organizational and time management skills.
  • Ability to build effective working relationships across departments.
  • Ability to interpret and implement company policies and procedures.

ICM Asset Management offers a dynamic and stimulating work environment, competitive salaries and benefits, and opportunities for professional growth and development. If you believe you have the experience and qualifications necessary to fill this role, please apply with your cover letter and resume in a single PDF document to careers@icmgroup.ca with Fund Accountant in the subject line.

About ICM

Our success hinges on our unwavering commitment to three principles that underpin our investment philosophy: Value, Discipline, and Results. Our adherence to these principles has allowed ICM to generate exceptional investment returns for our clients and a strong track record of achieving our goals.
Today, we manage more than $2 billion of assets across numerous investment vehicles and advisory relationships and have considerable experience in originating, structuring, and financing investment transactions and managing risk in alternative assets.
ICM is a proud member of the community and is active with a number of local charities, through the volunteer work of ICM’s staff and financial support by the firm and its principals.

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