Save Job Back to Search Job Description Summary Similar JobsRare opportunity to join a high performing Private Credit Fund Control teamCompetitive rewards and benefits and bonusAbout Our ClientPrivate credit manager, providing non-dilutive capital to high-quality private equity management companies, funds, and institutional investors. London based.Job DescriptionThe role will include responsibility for calculating the valuations on portfolio investments and will support the Finance Director and the Fund Operations Team. This is a broad and exciting role with plenty of stretch, for someone looking to advance their career at a leading and fast-growing private credit manager. Responsibilities include (but not limited to):ReportingDeveloping a detailed understanding of fund performance metrics and calculation methodologiesDeveloping a detailed understanding of the accounting standards and accounting treatments used across the fund partnershipsWorking day-to-day with 3rd party administrators and developing a strong working relationship with your counterparts on the fundsManaging quarterly reporting timetables and ensuring delivery to deadlineSupporting the Quarterly Investor Performance Reporting across multiple fundsSupporting and reviewing the Quarterly Financial StatementsSupporting and reviewing NAV production prepared under Lux GAAPMonthly NAV estimate calculationsInteractions with Investor Relations to complete investor queriesWorking with service providers (Auditors, Banks, Tax Advisors)ValuationsReviewing and approval of valuation calculations for the investments and support the Fund Controllers in the valuation processFund OperationsAchieving a detailed understanding of the fund's partnership agreements, borrowing facility agreements, operational processes, investments, investment pipeline, cash management processes and FX hedging policyCash, treasury support and FX Hedging support to the Operations TeamPortfolio ManagementObtaining a deep understanding of the commercials behind each deal so as to apply this when working on the various aspects of the fund accounting and operationsForecasting and Management InformationHave a detailed understanding of the Fund forecasting modelsUpdating and verifying KPIs in management reportsTaxProvide support on UK tax compliance matters (review returns and ad-hoc queries), Luxembourg (corporate and VAT) and US (Investor K-1 reviews)The Successful ApplicantACA or equivalent accounting qualificationPrivate Credit Funds expertise6-10 years + Professional experienceTechnically strong in the application of Lux GAAP (majority of funds are Luxembourg based)Prior experience of managing a reporting cycle and producing/reviewing financial statements for a closed end fund in private equity, private debt or hedge fundExperience in 3rd Party administrator and service provider oversightHighly analytical with prowess for working with high volumes of numerical dataMeticulous attention to detail and accuracyCommercially minded and familiar with performance reporting, financial reporting and dealing with investorsWhat's on Offer12 month fixed term contract (Permanent hire may be considered)Competitive salary and compensation packageGenerous Annual bonusHybrid workingContactMary CotterQuote job refJN-102024-6578268Phone number+44 207 776 5987Job summaryJob functionAccountingSubsectorFinancial ControllerSectorFinancial ServicesLocationLondonContract typeTemporaryConsultant nameMary CotterConsultant phone+44 207 776 5987Job referenceJN-102024-6578268