Responsibilities
:
1. Monitor internal document receipts against those of their administrators, meticulously checking for accuracy and addressing any issues promptly;
2. Managing process timelines and taking ownership of key deliverables;
3. Collaborate across finance for monthly valuation reporting, including running exception reports and analysing large datasets to troubleshoot data integrity issues;
4. Overseeing and reviewing underlying valuations of portfolio investments, primarily sourced from GP-provided Capital Accounts, using informed judgement and interpretation;
5. Collaborating with key stakeholders to ensure the accuracy of regulatory reporting;
6. Facilitating the understanding and onboarding of new deals, particularly aroundplex structures, to ensure seamless integration;
7. Establishing new processes and controls within the business new product platform, particularly focusing on monthly reporting and working with new administrators.
Key Attributes:
8. Qualified Accountant (ACA, ACCA, CIMA or equivalent) or on the journey to be qualified;
9. Practice trained and / or Fund Accounting experience (either in house or at an administrator) - preferred;
10. Strong Excel skills.
In ourpany values we aim for equity at all stages of the recruitment process, please let us know if we can do anything to make the process more accessible to you.
Job ID GH849696721