Fund Accountant - Private Markets & Open-Ended Funds

International Association of Insurance Professionals (IAIP)

Greater London

Hybrid

GBP 65,000 - 90,000

Full time

9 days ago
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Job summary

IAIP in London is hiring a Fund Accountant/Assistant Fund Controller to join the finance team, supporting open-ended private credit and private equity funds.

You will work with the Fund Controller on NAVs, investor allocations, financial statements, fund valuations, cash management and fee calculations.

This is an excellent opportunity for someone early in their fund-finance career to gain broader exposure within a sophisticated alternative investment platform.

Qualifications

  • Strong grounding in fund accounting, audit or fund financial reporting.
  • Approximately 3–6 years of relevant experience.
  • Qualified or part-qualified ACA/ACCA/CA/CPA or equivalent.

Responsibilities

  • Oversight and review of NAVs and fund accounting produced by third-party administrators.
  • Investor allocations, subscriptions, redemptions, capital calls and distributions.
  • Quarterly and annual financial statements and investor reporting.
  • Fund valuations, including exposure to illiquid private credit and equity investments.
  • Cash and liquidity management, expense allocations and management-fee calculations.
  • Liaising with administrators, auditors, tax advisers, legal teams and other service providers.
  • Supporting investment teams and senior stakeholders with fund and transaction-related analysis.
  • Reviewing fund activity against LPAs, offering documents and side letters.
  • Improving controls, reporting and fund-finance processes.
  • Supporting automation, systems and AI-led initiatives as the finance function continues to evolve

Skills

Fund accounting
Audit
Fund financial reporting

Education

ACA/ACCA/CA/CPA or equivalent

Job description

IAIP in London is hiring a Fund Accountant/Assistant Fund Controller to join the finance team, supporting open-ended private credit and private equity funds.

You will work with the Fund Controller on NAVs, investor allocations, financial statements, fund valuations, cash management and fee calculations.

This is an excellent opportunity for someone early in their fund-finance career to gain broader exposure within a sophisticated alternative investment platform.

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