This position will have the primary responsibility of managing fund accounting team(s) providing the full range of fund administration services to private equity and hybrid funds. This individual will be reporting directly to Regional Head of Private Equity and Real Estate.  A partial list of responsibilities and skills includes:Manage client relationships and act as escalation point for all client queries and resolve issues/queries raised by our clients. Maintain a high level of client satisfaction and retentionManage a team of accountants responsible for client deliverables such as NAV production, financial statements and associated reports and assist with the review processEnsure the service level agreement and accuracy of client deliverables prepared by their teamEnsure that the team is trained, engaged and as efficient and effective as possible in achieving organizational goalsHelp with the coordination of resources and make sure that appropriate cross training and coverage is in place to meet client and organizational expectations for deliverablesOversea the audit process, prepare financial statements or review such if prepared by other partiesEnsure all processes are performed following operational controls as stipulated in SOC1 and all relevant checklists are completedEnsure all fees are billed on time and collected promptly for their assigned team.Participate in multiple system initiatives and projects and contribute to idea generation for future process or technological improvements. Expected to participate on both a local and global levelOversee tracking and managing; Client profit margins, people management, client relationship risk reviews, incident management and risk reduction