Fund Accountant

Wade Macdonald

Basingstoke

Sur place

GBP 40 000 - 45 000

Plein temps

Il y a 9 jours
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Résumé du poste

Wade Macdonald is seeking a Fund Accountant to join a growing fund accounting team in Basingstoke. You will deliver accurate financial reporting across a portfolio of private capital funds and mentor junior staff.

Ideal candidates will be ACA or ACCA part qualified with exposure to private equity or real estate fund accounting, and possess strong technical accounting knowledge and attention to detail.

Qualifications

  • ACA or ACCA part qualified is required.
  • Exposure to private equity, private debt or real estate fund accounting is essential.
  • Strong technical accounting knowledge and high attention to detail are expected.

Responsabilités

  • Oversee bank, cash and ledger reconciliations to ensure accuracy.
  • Produce treasury and liquidity reporting for fund structures.
  • Support compliance reporting and tax submissions with external advisers.
  • Prepare and review investor capital calls and distributions.

Connaissances

ACCA/ACA
Private equity
Technical accounting
Attention to detail

Formation

ACCA/ACA part qualified

Description du poste

Fund Accountant - Basingstoke - £40,000 - £45,000 FTC - Basingstoke

About the Client

Our client is a well-established organisation operating within the Financial Services sector, providing specialist fund administration and accounting services to a diverse portfolio of private capital clients. With a strong reputation for delivering high-quality solutions.

About the Job

An excellent opportunity has arisen for an experienced Fund Accountant to join a growing fund accounting team. The successful candidate will take responsibility for delivering accurate financial reporting and accounting services across a portfolio of alternative investment funds, whilst supporting junior team members and maintaining high standards of client service.

Duties will include:
  • Overseeing bank, cash and ledger reconciliations to ensure accuracy and completeness.
  • Producing treasury and liquidity reporting for fund structures.
  • Monitoring financing arrangements and supporting compliance reporting requirements.
  • Preparing and reviewing investor capital call and distribution documentation.
  • Assisting with the preparation and review of indirect and corporate tax submissions alongside external advisers.
  • Responding to investor enquiries and supporting wider investor relations activities.
  • Preparing and reviewing management accounts and financial performance reports.
  • Producing quarterly reporting packs for investors and stakeholders.
  • Preparing and reviewing annual statutory and non-statutory financial statements.
  • Liaising with auditors, legal advisers, tax specialists and other external service providers.
  • Ensuring compliance with internal controls, risk management procedures and quality standards.
  • Providing guidance, mentoring and on-the-job training to junior team members.
  • Supporting workload planning and resource allocation to meet client deadlines.
  • Contributing to process improvement initiatives and operational enhancement projects.
  • Taking increasing ownership of client relationships and portfolio management responsibilities as experience develops.
About the Successful Applicant

You will be ACA or ACCA part qualified. Previous exposure to private equity, private debt or real estate fund accounting is essential. Strong technical accounting knowledge, excellent attention to detail.

What You Will Receive in Return

In return, you will join a respected organisation that offers exposure to a varied and high-profile client portfolio within the private capital sector. You will benefit from ongoing professional development, structured career progression, a supportive team environment, and the opportunity to work closely with industry-leading professionals

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