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Justine provides the Fund Accounting team at JP Fund Administration with operational service in the Hong Kong/Singapore time zone for our Asian based clients. The Fund Accounting team is primarily responsible for the preparation of timely and accurate Net Asset Values for a variety of funds. Each member of the Fund Accounting team is the first point of contact for their respective client and is responsible for all aspects of day to day accounting activities for their assigned funds.
Prior to JP Integra, Justine worked as a fund accountant on behalf of another international fund administration company in Dubai. In her previous role she gained significant knowledge of NAV and financial statement preparation, internal audit and shareholder services. Before becoming a fund accountant, Justine was an Accounting Officer for a real estate development company where she was responsible for the preparation of financial statements. Justine began with JP Integra in 2019 to provide operational capacity for the Asia/Oceania region.
Justine is a Certified Public Accountant.