Head of EMEA Fund Accounting Assurance

4150 Invesco Investment Management Limited

Dublin

On-site

EUR 120,000 - 180,000

Full time

14 days+
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Benefits offered by this job

Company-provided healthcare
Competitive annual leave allowance
Flexible working options, includinghyb
Generous pension provisions
Income protection
Health and wellness benefits
Volunteering days
Enhanced parental leave
Life insurance

Job summary

Invesco Investment Management Limited is seeking a seasonedNAV oversight leader to guide valuation controls across Onshore, Ireland, Dublin and Luxembourg ranges. You will manage a team handling NAV calculations and supervise third-party administration activities ensuring accuracy and compliance.

The role requires experience with UK and cross-border funds, strong risk management, and ability to engage senior stakeholders.

Qualifications

  • Experienced financial services professional with NAV oversight experience at a Management Company or Third-Party Provider.
  • Proven people-management skills, motivated to create a supportive and high-performing team.
  • Experience working with UK and cross-border products and diversified product ranges.
  • Awareness of risk management and escalation processes.
  • Knowledge of delivering fund lifecycle events and detailed NAV and share-class price calculations, including hedging share classes.

Responsibilities

  • Provide NAV oversight, managing controls and ensuring adherence to SLAs for valuations and fund accounting services across UK, Ireland and Luxembourg.
  • Maintain an effective control environment by monitoring KPIs, conducting service reviews and due diligence sessions.
  • Analyze, investigate and sign off on breaches and errors, mitigating risks to prevent recurrence and ensuring compliance with Invesco’s error-management framework.
  • Stay current with regulatory and industry developments, participating in industry or peer groups and ensuring NAV activities comply with best practice.
  • Contribute to and oversee implementation of business, regulatory and product development changes, including chairing and reporting to Board and Committee meetings.
  • Manage the team responsible for product development initiatives within the fund administration function.

Skills

NAV oversight
People management
Cross-border product experience
Risk awareness
Stakeholder communication

Education

University degree

Tools

Bloomberg
ICE

Job description

As one of the world’s leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients by delivering distinctive investment management capabilities and a wide range of strategies worldwide.

Benefits
  • Company‑provided healthcare
  • Competitive annual leave allowance
  • Flexible working options, including hybrid arrangements
  • Generous pension provisions
  • Income protection
  • Health and wellness benefits
  • Volunteering days
  • Enhanced parental leave
  • Life insurance
Your Role

Lead the teams responsible for Fund NAV calculations and oversee NAV‑related activities performed by Third‑Party Administration (TPA) companies across Onshore, Ireland, Dublin and Luxembourg ranges.

Responsibilities
  • Provide NAV oversight, managing controls and ensuring adherence to Service Level Agreements for valuations and fund accounting services across UK, Ireland and Luxembourg.
  • Maintain an effective control environment by monitoring KPIs, conducting service reviews and due diligence sessions.
  • Analyse, investigate and sign off on breaches and errors, mitigating risks to prevent recurrence and ensuring compliance with Invesco’s error‑management framework.
  • Stay current with regulatory and industry developments, participating in industry or peer groups and ensuring NAV activities comply with best practice.
  • Contribute to and oversee implementation of business, regulatory and product development changes, including chairing and reporting to Board and Committee meetings.
  • Manage the team responsible for product development initiatives within the fund administration function.
  • Lead and motivate a direct‑report team, driving performance management and developing a best‑in‑class culture.
  • Identify and lead fund administration activities to improve efficiencies and service levels.
  • Collaborate with the wider office management team, local management committees, EMEA Head of Fund Services and Global Head of Fund Accounting and Tax.
  • Manage relationships with internal stakeholders, TPAs, service providers and fund auditors to maintain excellent service.
Qualifications
  • Experienced financial services professional with NAV oversight experience at a Management Company or Third‑Party Provider.
  • Proven people‑management skills, motivated to create a supportive and high‑performing team.
  • Experience working with UK and cross‑border products and diversified product ranges.
  • Awareness of risk management and escalation processes.
  • Knowledge of delivering fund lifecycle events and detailed NAV and share‑class price calculations, including hedging share classes.
  • Technical expertise in alternative type products such as Bank Loan Funds, Real Estate Funds and Fund‑of‑Funds.
  • Understanding of swing pricing mechanisms and their production implementation.
  • Proficiency with fund accounting systems and financial vendors (e.g., Bloomberg, ICE).
  • Advanced Microsoft Office skills, particularly Excel.
  • University degree (or equivalent qualification).
  • Seasoned communicator with experience presenting at Board meetings and to senior stakeholders.
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