Senior Fund Controller
Goodman Masson are searching for a Senior Fund Controller to join a global, leading Private Equity house as part of a newly established and fast-growing division. This is a rare opportunity to take ownership in a broad and commercially impactful role, helping to shape the structure and future direction of an innovative semi-liquid fund platform.
The position sits within a dynamic team focused on delivering sophisticated capital solutions to a more diversified investor base. The successful candidate will work closely with senior stakeholders across Finance, Investment, and Product functions, and will play a key role in designing, building, and running the financial control framework for a suite of evolving investment vehicles.
Overseeing the core finance and control framework across semi-liquid private market funds, including NAV production, capital accounts, multi-currency cash management, and valuation processes
Working with Product and Investment teams to optimise fund performance and structure, including market NAV adjustments and strategy around redemptions, capital deployment, and liquidity
Leading on forecasting, planning, and treasury across a range of fund share classes, with a view to managing redemption scenarios and future capital requirements
Reviewing and advising on fund-level operations, including oversight requirements for client assets within private wealth structures
Acting as a key point of contact for internal senior leadership, providing performance updates and presenting recommendations to support fund and business-wide strategy
Managing third-party relationships across administration, custody, FX, audit, and technology, holding accountability for service levels and delivery
Providing leadership and direction across the broader finance team, including workflow planning and team development
Qualified accountant (ACA, ACCA, CIMA or equivalent) with 10+ years' post-qualified experience
Strong technical grounding in fund accounting and financial control within private markets
Experience overseeing complex investment structures, ideally including semi-liquid or evergreen funds
Deep understanding of NAV oversight, valuation methodologies, capital accounts, and multi-currency structures
Proven ability to manage liquidity forecasting, capital allocation, and redemption planning within dynamic fund environments
Working knowledge of client asset regulations and oversight requirements relevant to fund structures with private wealth exposure
Track record of partnering with senior stakeholders and influencing decision-making at board or executive level
This is a unique opportunity to step into a role with real scope, variety, and impact, within one of the most respected names in global private equity.