Senior Fund Accountant - Private Equity & Real Estate

Michael Page International (Belgium)

Belgique

Sur place

EUR 90 000 - 130 000

Plein temps

Il y a 9 jours
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Résumé du poste

Michael Page International (Belgium) is recruiting a Senior Fund Accountant to oversee a portfolio of Luxembourg-based alternative investment funds, including Private Equity and Real Estate structures.

You will own day-to-day fund accounting, NAV calculations, financial reporting and regulatory liaison, while coordinating with auditors and external service providers. This role offers responsibility from day one and a clear path to senior ownership in a growing funds activity.

Qualifications

  • 5-8+ years of experience in fund accounting.
  • Strong hands-on experience with alternative investment funds.
  • Solid exposure to Private Equity and Real Estate funds.
  • Experience producing and reviewing NAVs and financial statements.
  • Good understanding of the complete fund accounting lifecycle.
  • Familiarity with Luxembourg investment vehicles and fund structures.
  • Familiarity with Luxembourg regulatory environment, including AIFM, CSSF and PSF requirements.
  • Experience with complex or less traditional assets; crypto assets would be valuable.
  • Ability to manage a portfolio independently and prioritise deadlines.
  • Fluent English and French.

Responsabilités

  • Manage the accounting of Private Equity, Real Estate, Venture Capital and other alternative investment funds.
  • Take ownership of day-to-day fund accounting activities across your assigned portfolio.
  • Prepare and review NAV calculations, accounting schedules and periodic financial reporting.
  • Produce annual and interim financial statements in accordance with applicable requirements.
  • Maintain complete and accurate accounting records for Luxembourg investment structures.
  • Handle accounting for investments, capital activity, expenses, accruals and other fund transactions.
  • Coordinate the preparation of regulatory and investor reporting.
  • Support annual audit processes and liaise directly with external auditors.
  • Prepare and coordinate Luxembourg VAT and tax filings with relevant advisers and authorities.
  • Contribute to the preparation and organisation of board and shareholder meetings.
  • Work closely with investment managers, investors, banks, custodians and other external service providers.
  • Investigate and resolve accounting or operational discrepancies affecting the funds.
  • Coordinate internally with teams involved in the NAV control and review process.
  • Ensure information flows efficiently between accounting, corporate, tax and operational stakeholders.
  • Contribute to the development and structuring of the firm's growing alternative funds activity.
  • Participate in the implementation of processes required for the future regulated operating model.

Connaissances

Fund accounting
NAV calculations
Alternative investments
Private Equity funds
Real Estate funds
Regulatory reporting
English and French
Client interaction

Description du poste

  • Help build a new CSSF-regulated alternative fund services platform
  • Own complex PE and Real Estate funds with real autonomy from day one
About Our Client

Our client is an independent Luxembourg financial services firm providing specialist support to investment structures, financial-sector professionals and international businesses.
Its activities span fund accounting, accounting, tax, regulatory reporting, corporate services, transfer agency and registrar services, with particular expertise in alternative investment structures. The firm combines the technical depth of experienced Luxembourg professionals with a relatively entrepreneurial operating model, giving employees greater exposure to clients, decision-makers and the wider fund lifecycle.

Job Description

As Senior Fund Accountant, you will take responsibility for the accounting and operational oversight of a portfolio of alternative investment funds.
Your responsibilities will include:

  • Manage the accounting of Private Equity, Real Estate, Venture Capital and other alternative investment funds
  • Take ownership of day-to-day fund accounting activities across your assigned portfolio
  • Prepare and review NAV calculations, accounting schedules and periodic financial reporting
  • Produce annual and interim financial statements in accordance with applicable requirements
  • Maintain complete and accurate accounting records for Luxembourg investment structures
  • Handle accounting for investments, capital activity, expenses, accruals and other fund transactions
  • Coordinate the preparation of regulatory and investor reporting
  • Support annual audit processes and liaise directly with external auditors
  • Prepare and coordinate Luxembourg VAT and tax filings with relevant advisers and authorities
  • Contribute to the preparation and organisation of board and shareholder meetings
  • Work closely with investment managers, investors, banks, custodians and other external service providers
  • Investigate and resolve accounting or operational discrepancies affecting the funds
  • Coordinate internally with teams involved in the NAV control and review process
  • Ensure information flows efficiently between accounting, corporate, tax and operational stakeholders
  • Contribute to the development and structuring of the firm's growing alternative funds activity
  • Participate in the implementation of processes required for the future regulated operating model
The Successful Applicant

You are an experienced Luxembourg fund accounting professional who combines strong technical knowledge with the autonomy required to manage sophisticated alternative investment structures.
You ideally bring:

  • 5-8+ years of experience in fund accounting
  • Strong hands-on experience with alternative investment funds
  • Solid exposure to Private Equity and Real Estate funds
  • Experience producing and reviewing NAVs and financial statements
  • Good understanding of the complete fund accounting lifecycle
  • Knowledge of Luxembourg investment vehicles and fund structures
  • Familiarity with the Luxembourg regulatory environment, including AIFM, CSSF and PSF requirements
  • Previous exposure to complex or less traditional assets; experience with digital or crypto assets would be particularly valuable
  • Ability to manage a portfolio independently and prioritise competing deadlines
  • Strong analytical skills and attention to detail
  • Confidence dealing directly with clients, auditors, investment managers and other service providers
  • A collaborative approach combined with a high level of personal ownership
  • Fluent English and French
  • Any additional European language would be an advantage
What's on Offer

This opportunity offers considerably more than a conventional fund accounting position.
You will benefit from:

  • A permanent, full-time position in Luxembourg
  • A senior role within a growing alternative investment funds activity
  • The opportunity to participate in the creation of a future CSSF-regulated structure
  • Direct exposure to Private Equity, Real Estate, Venture Capital and complex alternative assets
  • Significant ownership of your portfolio from the beginning
  • Broader responsibilities than typically found in highly segmented fund administration environments
  • Direct interaction with senior stakeholders and decision-makers
  • The opportunity to contribute to processes and operating models rather than simply inherit them
  • An entrepreneurial environment with relatively short decision-making channels
  • Strong potential for professional development as the fund services activity expands
  • A competitive compensation package based on experience and technical expertise
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