About this role
About the Company Lighthouse Canton is an independent asset manager to institutional investors and private clients, with headquarter in Singapore. Our wealth management business serves ultra-high-net-worth individuals, families, and family offices across their investment, estate, tax, and philanthropic needs. The asset management business offers strong internal product capabilities in hedge funds, private equity, and traditional fundamental analysis-based strategies. Lighthouse Canton has offices in Singapore, Dubai, India and London. We believe in hiring smart and curious people with the highest integrity. We offer talented professionals an opportunity to grow in a collaborative environment, surrounded by driven colleagues, and the opportunity to make an impact from the first day in the organization. Job Responsibilities Financial Analysis • Support month-end and quarter-end NAV closing processes for funds. Understand the investment portfolios, assist with providing variance analysis and insights to support decision-making Data Entry and Reconciliation • Assist with data entry, reconciliation of Fund financial transactions, and maintaining financial records. Help prepare documentation for audits, tax filings, and regulatory submissions and business usage Project Support • Contribute to various investment & fund accounting -related projects, such as investment data preparation, accounting software data migration and clear historical financial data Administrative Tasks • Perform general administrative tasks related to fund accounting operations, such as filing and organizing documents, bank statements and investment positions’ reconciliation Qualifications & Skills Required • Currently pursuing or recently completed degree in accounting, finance, or business • Strong attention to detail and accuracy • Solid analytical skills and advanced Excel proficiency (formulas, pivot tables, data manipulation) • Foundational understanding of accounting principles • Proactive, eager to learn, and able to manage multiple tasks under deadlines • Good communication and collaboration skills • Familiarity with financial instruments or fund structures a plus • Able to commit for minimum 3 months on a full-time basis from August 2026 onwards What You Will Gain This internship provides practical experience in specialized areas of accounting that serve the investment management industry. You will develop technical skills in fund accounting, financial analysis, and regulatory compliance while working alongside experienced professionals. The role offers insight into how investment funds operate and how accounting supports investment decision-making and investor relations.
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