Strategic Fund Accountant | Private Debt & Treasury

Carnegie Consulting

England

On-site

GBP 60,000 - 90,000

Full time

14 days+
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Job summary

Carnegie Consulting is seeking a fully qualified fund accountant to join a European private debt fund's Finance team in the UK. You will review quarterly and annual fund and SPV accounts, oversee fee calculations and investor reporting.

The role requires ACA/ACCA, solid exposure to investment funds, and a proactive mindset to work within a small team. You will liaise with auditors, administrators and LPs, contributing to cash flow, liquidity, and treasury activities.

Qualifications

  • Fully qualified accountant with ACA or ACCA (newly/recently qualified).
  • Exposure to investment funds, including private debt, private equity or real estate is preferred.
  • Be curious, proactive and able to work well in a small team.

Responsibilities

  • Detailed review of quarterly and annual fund and SPV accounts prepared by administrators.
  • Review fund drawdown and distribution notices to LPs.
  • Oversee management fee calculations, fund invoicing and payments.
  • Liaise with auditors regarding the audit of annual accounts.
  • Assist in reviewing investor tax reporting for the US and UK.
  • Liaise with administrators on KYC items across all vehicles and structures.
  • Assist with ad hoc investor queries.
  • Work with the asset management team to maintain accurate loan data.
  • Ensure the smooth operation of payment and loan authorisation processes.
  • Review borrower loan statements prepared by the administrator.
  • Maintain fund and loan performance models, both actual and forecast.
  • Undertake cash-flow forecasting, liquidity and treasury work.

Skills

Accounts review
Audit liaison
Forecasting
Cash flow
Teamwork

Education

ACA/ACCA

Job description

Our client is a European private debt fund with circa £4bn AUM. As part of its growth plans, a new fund accountant is sought to join their Finance team. You will be a fully qualified accountant (likely ACA or ACCA) from a top mid-tier accounting/audit practice with a combination of accounts preparation and audit work. You will ideally have had exposure to fund management or real estate clients

The Role:

  • Detailed review of quarterly and annual fund and SPV accounts prepared by administrators.
  • Review fund drawdown and distribution notices to LPs.
  • Oversee management fee calculations, fund invoicing and payments.
  • Liaise with auditors regarding the audit of annual accounts.
  • Assist in reviewing investor tax reporting for the US and UK.
  • Liaise with administrators on KYC items across all vehicles and structures.
  • Assist with ad hoc investor queries.
  • Work with the asset management team to maintain accurate loan data.
  • Ensure the smooth operation of payment and loan authorisation processes.
  • Review borrower loan statements prepared by the administrator.
  • Maintain fund and loan performance models, both actual and forecast.
  • Undertake cash-flow forecasting, liquidity and treasury work.

Requirements:

  • You will be a fully qualified accountant, likely to be newly/recently qualified (ACA or ACCA)
  • Ideally have exposure to investment funds, including private debt, private equity or real estate
  • Be intellectually curious, work in a proactive manner and work well as part of a small team
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