We are working with a leading global financial services organisation that is building out its fund accounting workflow for private equity funds. They are seeking a Senior Business Analyst to play a key role in the design, implementation, and optimisation of NAV and fund accounting processes across private markets.
This is a high-impact role partnering closely with Fund Accounting Operations, Technology teams, and third-party vendors, focused on driving standardisation, automation, and strong control frameworks.
Strong fund accounting Business Analysis experience is essential, and hands-on Investran expertise is highly advantageous.
Lead the end-to-end design and delivery of fund accounting and NAV workflows, covering data ingestion, calculation, validation, exception management, approvals, and downstream reporting.
Translate complex private fund accounting requirements into clear functional and non-functional specifications.
Support and refine the product backlog, defining high-quality epics and user stories with testable acceptance criteria.
Facilitate process discovery and optimisation workshops, documenting As-Is and To-Be workflows across valuation, review, and sign-off stages.
Design and document workflow orchestration including task management, exception handling, approvals, and system integrations.
Define and maintain data models, schemas, and mappings supporting NAV production (positions, trades, pricing, FX, accruals, fees, and investor activity).
Identify opportunities to automate processes, reduce manual touchpoints, and strengthen operational controls.
Partner with Accounting, Technology, Risk, and external vendors to deliver scalable, audit-ready solutions.
Support user documentation, operating procedures, and training to ensure smooth adoption.
Extensive experience as a Senior Business Analyst within fund accounting, with a strong focus on private equity / private markets.
Deep understanding of the NAV and valuation lifecycle, including:
Capital activity (capital calls & distributions)
Investor allocations and waterfalls
Management & performance fees
FX processing and revaluation
Accruals, expenses, and GL postings
NAV review, approval, and dissemination controls
Strong knowledge of private equity fund structures, commitments, vintages/series, equalisation, side letters, and complex fee/carry arrangements.
Proven ability to work across Operations, Technology, and senior stakeholders, translating accounting detail into practical solutions.
Strong documentation and process-mapping skills (e.g. workflow diagrams, data flows).
Comfortable operating in complex, regulated, and control-driven environments.
Hands-on Investran experience in a private fund accounting environment (capital activity, waterfalls, fee engines, investor accounting, GL workflows).
Experience working in product-aligned or change-driven environments.
Exposure to Agile, hybrid delivery models, and tools such as JIRA and Confluence.
