Fund Accountant
Job Ref: LF
40222
Join the Guernsey-based Private Equity Operations team of a global financial institution, supporting a large and complex private equity client across a range of fund products. This hands-on accounting role is ideal for someone looking to deepen their experience in private equity fund structures while contributing to a dynamic, collaborative environment.
Location
Responsibilities
Duties for this role include, but are not limited to:
- Supporting client relationships and resolving queries alongside internal teams and investment advisers.
- Managing daily accounting tasks such as cash management, booking valuations, and preparing reconciliations.
- Creating and maintaining investment and portfolio records, including processing purchases, disposals, income, and valuations.
- Assisting with client and investor reporting, including bespoke data and stakeholder deliverables.
- Monitoring mailbox activity and prioritising client assignments within agreed timeframes.
- Maintaining accounting trackers, inputting workflows, and preparing invoice coding.
- Reviewing accounts, supporting SharePoint workflow updates, and promoting process improvement.
- Liaising across departments and jurisdictions to ensure timely delivery and efficient communication.
Skills / Qualifications
The ideal candidate should have prior experience in fund accounting or administration, ideally within private equity, credit, or perpetual fund structures. Part-qualified ACA or ACCA status is preferred. Strong organisational and communication skills, along with the ability to manage competing priorities and adapt to new systems, are essential. Data literacy and a client-focused mindset are also important.
How To Apply
For a full job description or further information on this role please call 711188, or email [email protected].If you wish to apply for this role, please submit your CV via the Apply Now button below.