The firm have a global investment presence with three offices worldwide, with c 50 headcount in total. The Fund Financial Controller will join an existing team of four highly competent individuals in a broad role that encompasses:
Fund reporting - fund structuring, NAV calculation review, daily PnL review
Corporate reporting - monthly and quarterly reporting, budgeting, forecasting
Investor reporting - liaising with investors and fund administrators, investor allocations and investor relations
Strategic operations - Ad hoc operational support, trade processing and settlements
As a Fund Financial Controller, you will be:
ACA/ACCA/CIMA qualified or international equivalent
2+ years minimum PQE working "in house" in a fund finance environment, preferably within a hedge fund
2:1 from a Russell Group university of international equivalent
Passion and tenacity to work well in a rapid growth environment and part of a collegiate team
This position offers unrivalled career progression, a market leading compensation package and the opportunity to truly be part of a developing success story.
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My client is an equal opportunities employer.