.About the company:Join the exciting journey at fundcraft, where we're revolutionising the fund industry providing digital-native fund operations. Our mission is clear: be our client's digital native partner, providing simple, transparent and integrated fund operations ensuring alternative investment managers to focus on their core business.As a fully CSSF-licensed AIFM and central administrator, fundcraft is uniquely positioned to meet the diverse fund operations needs of private equity, venture capital, and funds of funds.Be part of our dedicated team of financial experts, lawyers, product managers, tech developers, and corporate professionals who are committed to disrupting the financial industry with our unique product and innovative tech-led approach. We're proud to stand out from competition and be the first product based company to offer such a comprehensive solution.Founded in 2020, fundcraft has grown rapidly, already employing over 90 professionals across two countries, Spain and Luxembourg. If you're passionate about driving change and making a difference in the financial world, join us and be part of our success story.About the role:As an Associate in Accounting, you will play a key role in handling a variety of accounting tasks, from managing accounts payable and assisting in fund accounting reconciliations to contributing to financial statement preparation and ensuring compliance with regulatory filings. You will also engage in various financial projects and be entrusted with day-to-day bookkeeping responsibilities. The successful candidate will have the opportunity to be an integral part of our product delivery team and work closely with senior accountants and other departments.This position is based in Girona, Spain, and reports to our Fund Accounting Manager.Key Responsibilities:Manage regular accounting tasks, including prepaids and accruals.Prepare fund accounting reconciliations, ensuring alignment between records and actual transactions.Monitor and manage bank account balances, ensuring sufficient liquidity for operations.Prepare fund-related wire transfers (e.G., investments, invoices) using Multiline banking systems.Maintain and update the intercompany loan matrix, including interest calculations.Reconcile intercompany trade and loan balances, ensuring accuracy and consistency across entities.Assist in the preparation of financial statements under the guidance of the Senior Associate, ensuring compliance with relevant accounting standards.Handle the bookkeeping for AP, ensuring accurate records of payments and liabilities.Oversee general administrative tasks such as eCDF, e-RCS filings, VAT, and CIT submissions, with support from the tax specialist when needed.Conduct cash analysis reports to provide insights into fund liquidity and cash flow trends.Contribute to various financial projects, providing support as required to meet company goals