An exciting opportunity has arisen for a Senior Fund Accountant to join a finance team supporting the operations of large-scale sovereign-style investment and development funds on an 18-month fixed-term contract. Reporting to the Finance Manager, this role offers a challenging and rewarding opportunity for an experienced fund accounting professional to work across complex private market investment structures, including loans, partnerships and direct equity investments.
The successful candidate will play a key role in ensuring accurate accounting, administration and reporting across multiple investment vehicles, while working closely with investment, financial reporting and project teams.
Key responsibilities will include, but are not limited to:
Administration of loan portfolios, including review of facility agreements and calculation of interest, fees and repayments
Review of partnership agreements and interpretation of reporting and structural requirements
Review of investee allocations and capital account statements
Processing and review of capital calls and distribution notices
Monitoring daily cash activity, including setting up payments and preparing cash projections
Preparation and review of accounting journals to ensure accurate recording of investment transactions
Liaison with external parties, including General Partners, investees and borrowers, to resolve queries
Support of year-end valuation processes for direct equity investments
Preparation and review of daily and monthly management reporting
Input and validation of transaction and valuation data within the portfolio management system (IBOR)
Preparation and review of reconciliations between portfolio management system NAVs and accounting records (ABOR)
Support of tax advisors with reviews of fund and investor tax reporting and related payments
Review of investment manager and custodian fees
Timely and professional response to internal stakeholder requests
Support of internal and external audit processes
Ensuring adherence to internal policies, procedures and control frameworks
Collaboration with financial reporting, investment and project teams
Contribution to the continuous improvement of processes and workflows
Support and mentoring of junior team members to ensure consistent, high-quality outputs
Participation in project work and ad hoc assignments as required
Professional accounting qualification (ACA, ACCA, CIMA) desirable but not essential
Third-level qualification, preferably in Finance, Accounting or a related discipline
Minimum of 4 years' experience in Fund Accounting
Strong experience with private market investment products is essential
Experience with hedge fund products is desirable
Ability to adapt quickly in a dynamic environment
Strong verbal and written communication skills
Excellent interpersonal skills with the ability to build effective working relationships
High level of attention to detail and accuracy
Proactive, self-motivated approach with strong initiative
Strong analytical and problem-solving skills
Flexible and adaptable to change
Ability to manage multiple priorities and meet deadlines in a fast-paced environment
Ability to work independently while contributing effectively as part of a team
Essential experience in the accounting and administration of unquoted investments and loan structures
Desirable experience with quoted equities, bonds, funds and derivatives
Experience with loan systems and loan administration, including interest calculations (interpolated rates advantageous)
Experience reviewing and interpreting loan facility agreements, limited partnership agreements and investment documentation
Experience using portfolio management systems
Strong Microsoft Excel skills and proficiency with other Microsoft Office applications
Knowledge of general ledger systems (e.g. SunSystems) advantageous
Strong understanding of finance controls and governance frameworks
