
Project Fund Accountant, Private Equity, 12 month contract
- London
- Contract
- Full-time
- Oversight of a number of third party administered funds, reviewing key items such as: management fees, carried interest, collation of investment valuation reports, liquidity management, investor capital calls, investment/divestment transactions, quarterly capital account statements, annual fund audits
- Become the lead contact for any ad hoc finance or operational queries for your fund allocation
- Collaborate with Investor Relations, Investment, Legal, Tax, Compliance teams
- Completion of the month-end review process including reconciliation with the in-house accounting system
- Oversight and management of the internal control environment and controls manual within a Sox compliant environment
- Adhere to the FCA’s Conduct Rules, understanding that they set basic standards of good personal conduct
- Outsourcing various legacy funds to the third-party administrator, ensuring that data is migrated from Investran (in-house system) to E-Front (administrator system) in a timely and accurate manner
- Review fee models and make improvements using technology.
- Identify other manual processes which can be improved and work with the Funds Finance Managers and Associate Director to make recommendations to improve these processes through technology
- Assist the Funds Finance Team in improving the quality of data extraction and storage in order to facilitate high quality investor reporting alongside the performance reporting and investor relations teams
- You will be a fully qualified accountant (ACA, ACCA, CIMA, or equivalent)
- Current/prior fund accounting experience for Private Equity funds
- Ability to manipulate and analyse large data volumes, with knowledge of systems such as Power BI, Power Query, Alteryx or similar being highly advantageous
- Have excellent all-round communication skills
- You must be available immediately or at short notice
- You must be based in the UK and have the requisite eligibility to work in the UK