A leading European private equity firm is looking for an Fund Controller to join their London team, in a middle office role that sits central to everything that happens across their funds.
You’ll work closely with deal teams, finance, and external administrators, helping to ensure smooth execution of investments, efficient management of capital flows, and accurate portfolio reporting.
The Opportunity:
This is a great move for someone who:
* Comes from a Fund Control, Fund Accounting, or Investment Operations background, and;
* Wants to broaden their experience into a more commercial, deal-connected environment.
You’ll get visibility across the full lifecycle of PE investments including capital calls, distributions, valuations and performance monitoring - while working in an ambitious, and growing team.
The Role:
* Coordinate investment and exit processes with the deal and legal teams.
* Oversee capital activity: calls, distributions, and deal fund flows.
* Support valuations, investor reporting, and portfolio data management.
* Partner with administrators on NAVs, audits, and fund-level reporting.
* Track key KPIs across portfolio companies and assist with ESG data.
* Contribute to ongoing process and systems improvements across the platform.
Requirements:
* Qualified accountant (ACA/ACCA/CIMA) or similar background
* Experience in private equity, fund operations, fund control, or fund admin
* Strong grasp of PE fund structures, valuations, and capital mechanics
* Confident communicator who enjoys working across teams and solving problems
* Analytical mindset and keen eye for detail
* Familiarity with fund or portfolio systems would be a plus
Why this role?
This is a great opportunity to build front-to-back exposure to the investment process, as part of a high-growth, tech-focused private equity firm with ambitious plans.
If you’re currently in Fund Control, Fund Accounting, or Investment Operations and want to get closer to the commercial side of PE then apply now or get in touch for more info.