Job Description
A leading asset management firm based in London is looking to hire a Fund Finance Analyst into a newly created team supporting its growing Private Markets Real Estate platform.
This is a unique opportunity to join at an early stage and play a key role in managing the financial operations and governance of high-value, UK-based real estate joint ventures. You’ll work closely with outsourced administrators and internal investment teams, while building direct relationships with institutional JV partners.
Your responsibilities will include, but are not limited to:
- Reviewing and overseeing quarterly financial reports, NAVs, and capital accounts prepared by outsourced providers
- Presenting financial results at board meetings, clearly articulating key variances and performance insights
- Supporting audit processes, cash flow forecasting, VAT returns, and treasury oversight
- Partnering with asset and investment managers on budgeting, planning, and financial analysis
- Liaising with external JV partners, auditors, tax advisers, and internal finance stakeholders
- Contributing to the setup and onboarding of new JV structures as the platform scales
The Ideal Candidate:
- A qualified accountant (ACCA / CIMA / ACA), with a minimum of 2+ years PQE
- Strong experience in real estate fund accounting or property finance
- Able to operate independently and manage outsourced service providers
- A confident communicator, comfortable presenting financial insights to senior stakeholders and partners
- Strong Excel and analytical skills
You’ll have the opportunity to work alongside experienced leadership in a newly formed, high-impact team, gaining valuable exposure to board-level stakeholders and playing a key role in the development of a growing investment platform.