This is a hybrid role and will require being the London office 3 days a week.
£(Apply online only) per day
3 Month Initial contract (Extension possible)
Are you a qualified Fund Accountant looking to work for a leading FinTech Platform for property finance?
Our client is an award-winning, UK leading company, and has grown to a team of over 250. Their culture is built around trying new things, getting stuff done but having FUN whilst they do it. They have huge plans to continue growing the business, products and people and are looking for YOU to join them as a Fund Accountant.
About the Role
Completing month end financial accounting procedures (bank reconciliations, balance sheet reconciliations, financial analytical review etc.)
Assisting in the production of the monthly/quarterly NAVs to ensure delivery in a timely manner
Assisting in annual forecasts for Fund expenditure including monitoring actuals against forecasts on a monthly/quarterly basis
Calculating intercompany recharges within the Funds Group
Calculating and invoicing the monthly share creation, management and performance fees
Submission of key documents and reports on a quarterly basis
Preparation of working papers and statutory accounts for the interim and full-year auditsRequirements:
Prior fund accounting experience is essential, either in-house or at a fund administrator
Fully qualified accountant, ACA, ACCA or equivalent (newly qualified - 1 year PQE)
Strong technical and accounting skills essential
Ability to work to strict deadlines as well as efficiently prioritising other ongoing work streams
Excellent attention to detail
Strong written and verbal communication skills
Team player, with the ability to help as and where needed to support the wider Funds team
Self motivated, enthusiastic and ambition to develop and add value to the businessIf this sounds like you and you are keen to find out more, apply now for immediate review