Fund Control Analyst Amsterdam

Redevco

Amsterdam

Hybrid

EUR 42,000 - 64,000

Full time

12 hours ago
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Job summary

Redevco in Amsterdam, a fund accounting specialist in real estate, seeks a skilled accounting professional to support NAV, capital accounts, and cash flow reporting across funds.

You will perform reconciliations, monitor management and performance fees, capital calls and distributions, and contribute to investor reporting and audits. This role offers exposure to multi-currency, multi-entity environments in an international setting.

Qualifications

  • 1–3 years’ experience in fund accounting, real estate, or alternative investments.
  • Degree in Finance, Accounting, Economics, or related discipline.
  • Part-qualified or qualified accountant (ACA, ACCA, CPA, or equivalent) or controller (CMA, CFA, EMFC).
  • Good understanding of fund accounting principles and financial reporting.
  • Exposure to IFRS and/or local GAAP.
  • Experience with fund accounting systems (Yardi, Investran, SAP) is an advantage.
  • Comfortable working in multi-currency and multi-entity environments.
  • Strong attention to detail and analytical mindset.
  • Good communication skills and ability to work with multiple stakeholders.

Responsibilities

  • Supports the preparation and review of fund NAV, capital accounts, and cash flow reporting, ensuring accuracy and consistency across schedules and models.
  • Performs reconciliations across fund systems (e.g., trial balances, investor registers, debt balances), investigates variances, and provides commentary to senior team members.
  • Monitors and supports the calculation of management and performance fees, capital calls/distributions, and other investor-related transactions.
  • Contributes to investor reporting deliverables and audit processes, liaising with external auditors and fund administrators.
  • Assists with analytical work such as scenario modelling, fee simulations, and performance tracking.
  • Gains exposure to key fund processes including debt covenant monitoring, asset-level business plan reviews, and overall fund performance analysis.

Skills

Fund accounting
IFRS
Multi-currency
Multi-entity
Financial reporting
Attention to detail
Analytical mindset
Stakeholder communication
Problem solving

Education

Finance degree
Accounting degree
Economics degree
Part-qualified or qualified accountant

Tools

Yardi
Investran
SAP

Job description

  • Supports the preparation and review of fund NAV, capital accounts, and cash flow reporting, ensuring accuracy and consistency across underlying schedules and models.
  • Performs reconciliations across fund systems (e.g., trial balances, investor registers, debt balances), investigates variances, and provides clear commentary to senior team members.
  • Monitors and supports the calculation of management and performance fees, capital calls/distributions, and other investor-related transactions.
  • Contributes to investor reporting deliverables and audit processes, liaising with external auditors and fund administrators.
  • Assists with analytical work such as scenario modelling, fee simulations, and performance tracking, supporting internal decision-making.
  • Gains exposure to key fund processes including debt covenant monitoring, asset-level business plan reviews, and overall fund performance analysis.
Requirements

Experience & Qualifications

  • 1–3 years’ experience in fund accounting, real estate, or alternative investments preferred
  • Degree in Finance, Accounting, Economics, or a related discipline
  • Part-qualified or qualified accountant (ACA, ACCA, CPA, or equivalent) or controller (CMA, CFA, EMFC)

Technical Skills

  • Good understanding of fund accounting principles and financial reporting
  • Exposure to IFRS and/or local GAAP
  • Experience with fund accounting systems (e.g. Yardi, Investran, SAP) is an advantage
  • Comfortable working in multi-currency and multi-entity environments

Personal Attributes

  • Strong attention to detail, analytical mindset and a hands-on mentality
  • Willingness to learn and take ownership of responsibilities
  • Good communication skills and ability to work with multiple stakeholders
  • Ability to work effectively and independently in a dynamic, international environment
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