Spend each day engaged in meaningful and challenging work within this diverse and collaborative fund and corporate services provider. Offering an international working environment with the benefit of customised professional development training, they support and encourage a balanced professional and personal life.
This is an exciting time to join a driven and passionate team that is steadily growing in the local office as well as globally. There are opportunities to work with a portfolio of private equity and also real estate fund clients.
Responsibilities will include:
Taking part in the setup of alternative investment funds and liaising with independent tax specialists, lawyers, and notaries as a part of setting up funds
Preparing the funds’ periodic Net Asset Value calculation and year-end financial statements, management of the audit, and reviewing other fund related reports
Preparation/review of drawdown and distribution calculations and notices, and equalisation calculations
Reviewing tax returns and tax balances and maintaining relevant contacts with the tax authorities
Coordinating and arranging investor servicing, including investor on-boarding, capital calls, distributions as well as issuance of shareholder statements
Experience and skills required:
Qualified or nearly qualified Accountant (e.g. ACA, ACCA)
2 to 4 years’ of relevant experience in the fields of alternative investment fund administration (private equity, real estate or debt fund administration)
Experience in UK GAAP and IFRS accounting standards
Ambitious with a high level of energy and commitment
Ability to work under pressure and meet a range of deadlines
We are an equal opportunity employer and value diversity at all times.