Fund Controller
- Posted 14 May 2020
- Salary £80000 - £85000 per annum + 40-60% Bonus & Impressive Benefits
- Location
- Job type Permanent
- Discipline Accounting & Finance
- ReferenceSLS_FUNDcontroller_1589473219
- Contact NameSinead Lennon-Smith
Job description
A leading Real Estate Private Equity firm is recruiting for a Fund Controller. Their company values are, emphasis on internal progression, providing quality training for their staff and flexible working if and when required. They believe in taking care of their employee's and promoting from within. This makes this a great opportunity for the right person. This role has come around due to expansion in the organisation. You will report to the Finance Director.
As a Fund Controller you will be responsible for:
Production of fund management information including reporting on investment performance and monitoring the introduction of new investments to ensure that investment returns are as expected or optimised.
Administration of investor drawdowns, distributions, equalisations and general investor reporting (quarterly) including ad hoc information requests as necessary.
Interrogation of financial models (supplied by project accountants) and collation of investment reports to monitor and evaluate project performance.
- Financial due diligence of target investments
Experience necessary:
A leading Real Estate Private Equity firm is recruiting for a Fund Controller. Their company values are, emphasis on internal progression, providing quality training for their staff and flexible working if and when required. They believe in taking care of their employee's and promoting from within. This makes this a great opportunity for the right person. This role has come around due to expansion in the organisation. You will report to the Finance Director.
As a Fund Controller you will be responsible for:
Production of fund management information including reporting on investment performance and monitoring the introduction of new investments to ensure that investment returns are as expected or optimised.
Administration of investor drawdowns, distributions, equalisations and general investor reporting (quarterly) including ad hoc information requests as necessary.
Interrogation of financial models (supplied by project accountants) and collation of investment reports to monitor and evaluate project performance.
- Financial due diligence of target investments
Experience necessary:
ACA, ACCA or CIMA Qualified
Funds experience within Real Estate