Fund Controller - Infrastructure & Private Equity
Overview
A London-based fund platform specialising in Infrastructure and Private Equity funds is seeking a Fund Controller to join its growing team. This is a senior, hands-on role with responsibility for overseeing fund reporting and administration across a portfolio of Infra and PE vehicles.
The successful candidate will act as a key point of contact for internal stakeholders, investors, auditors, and external service providers, while also
Key Responsibilities
Fund Reporting & Oversight
Lead the financial reporting across Infrastructure and Private Equity funds
Review and oversee:
Quarterly and annual financial statements
NAV calculations
Capital calls and distributions
Management and performance fee calculations
Ensure reporting is delivered accurately, on time, and in line with fund documentation and accounting standards
Fund Administration & Operations
Oversee outsourced fund administration providers, ensuring service levels and data quality
Act as the main point of contact for auditors, tax advisors, and other external providers
Support the onboarding of new funds and structures, including SPVs and co-invest vehicles
Maintain strong controls, processes, and documentation across the fund lifecycle
Leadership & Team Management
Supervise and mentor one junior team member, providing training and development support
Review work produced by junior staff and ensure high-quality output
Contribute to continuous improvement of reporting processes and systems
Candidate Profile
Essential
Qualified accountant (ACA / ACCA / CA or equivalent)
Strong experience within Fund Services, Asset Management, or a Fund Administrator
Proven background in Infrastructure and/or Private Equity fund reporting
Experience reviewing financial statements and NAVs
Confident managing external service providers and auditors
Comfortable operating in a senior, hands-on role
Desirable
Experience supervising or mentoring junior staff
Exposure to complex fund structures (SPVs, co-investments, multi-currency funds)
Knowledge of UK and/or international fund structures
Strong Excel and fund accounting system experience
