Day to day responsibility for the management of designated Private Equity or Real Estate Clients
Review quarterly and annual financial statements and reports
Work closely with your line Manager and Technical & Training Team to ensure financial statements meet the Funds’ reporting requirements, eg UK GAAP or IFRS
Review investor drawdown calculations to ensure accuracy of figures as Funds seek access to their commitments from investors
Review investor distribution calculations to ensure the flow of funds from the sale of an investment are accurately recorded so that proceeds are appropriately allocated and paid to investors
Ensure the accurate communication of all cash movements between the Fund and its Investors through the issuance of relevant notices to investors
Oversee the preparation and completion process of Client deliverables including agreeing timetables with Clients, and thereafter monitoring progress against these to ensure deliverables are on track
Conduct regular Client calls with CFO or Financial controller to ensure open and effective communication at all times.
Tasks (what does the role do on a day-to-day basis)
Responsible for mentoring and supporting other staff as an expert on designated clients and funds
Gain a good understanding of the accounting framework for each designated client (as prescribed in the Fund’s legal documentation, the LPA) and ensure the movement of funds and transactions are treated in accordance with this framework
Contribute ideas to improve processes to either gain efficiencies or reduce risk.
Key competencies for position and level (see Group Competency model)
Balances Stakeholders
Courage
Decision Quality
Drives Results
Key behaviours we expect to see
In addition to demonstrating our Group Values (Authentic, Bold, and Collaborative), the role holder will be expected to demonstrate the following: