Interim Fund Controller
London (hybrid)
6-month contract
Pan-European Real Estate Investment Management
About the Company
Our client is a leading pan-European real estate investment manager with a diversified portfolio spanning multiple sectors, including office, logistics, retail, residential, and mixed-use assets. With a commitment to delivering long-term value for investors, the business combines local market expertise with a rigorous institutional investment approach.
Role Overview
We are seeking an experienced Interim Fund Controller
to oversee the financial operations, reporting, and governance of multiple real estate investment vehicles. Acting as a key bridge between asset management, finance, and senior leadership, the role will ensure timely, accurate, and compliant reporting while supporting strategic decision-making.
Key Responsibilities,
Fund & Financial Management
Lead the financial control, reporting, and oversight of assigned funds across multiple jurisdictions.
Review and approve quarterly and annual financial statements in line with IFRS and/or local GAAP.
Manage the fund-level budgeting, forecasting, and cash flow processes.
Oversee capital calls, distributions, and investor reporting.
Reporting & Compliance
Ensure all fund reporting meets investor, regulatory, and internal requirements.
Liaise with external auditors, tax advisers, and fund administrators to manage year-end processes.
Maintain compliance with fund governance frameworks, legal structures, and jurisdictional regulations.
Stakeholder Engagement
Work closely with the asset management team to understand portfolio performance and integrate into financial forecasts.
Provide financial insight and analysis to support investment decisions and portfolio strategy.
Act as the primary finance contact for investors, responding to queries and ad hoc requests.
Process Improvement
Review and refine reporting processes to improve efficiency and accuracy.
Support the implementation of new financial systems, controls, or reporting frameworks as required.
Key Requirements,
Qualified accountant (ACA/ACCA/CIMA or equivalent).
Proven experience as a fund controller, ideally within real estate investment management.
Strong knowledge of IFRS, consolidation, and fund structures (including Luxembourg, Irish, or other European jurisdictions).
Experience working with pan-European asset portfolios.
Excellent Excel and financial modeling skills; familiarity with fund administration systems advantageous.
Strong communication skills, with the ability to interact confidently with senior stakeholders and investors.
Able to work independently, manage multiple priorities, and deliver under tight deadlines.
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