Job Description
The Role: Fund Accountant
The client: Boutique Investment Manager
The location: London City Centre (Hybrid working)
The requirements:
- Qualified Accountant (ACA / ACCA / CIMA)
- Experience with fund finance from an administrator or in-house position
- Strong exposure to NAV calculations, drawdowns, distributions etc
- Experience in Private Equity, Investment Manager, Real Estate or Infrastructure
The Role:
- Overseeing accurate management accounts for SPVs and fund consolidation in local GAAP and US GAAP reporting
- Reviewing balance sheet reconciliations, income statements and cashflow statements accordingly for SPVs.
- Managing the business cashflow and optimizing working capital requirements for each SPV.
- Liaising with and preparing tax reporting (VAT, corporate) and liaising with tax consultants to structure vehicles and implement guidance.
- Co-ordinating and liaising with external company directors to manage the administration of group entities.
- Implementing, reviewing and improving financial processes and systems
- Implementing drawdowns / capital statements
- Investor relations with limited partners on accounting and capital drawdowns
- Assisting with portfolio management / returns analysis
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