We're hiring a Fund Accountant to manage day-to-day accounting and reporting for a specialty credit financing fund. This role is central to keeping investor-facing numbers accurate and on time you'll be the person who makes sure the math behind carried interest, performance fees, and investor NAVs is right.
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What You'll Do
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- Maintain fund-level and investor-level accounting records in Xero
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- Calculate and reconcile Net Asset Value (NAV) per investor on a recurring basis
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- Compute carried interest and performance fee calculations in line with fund agreements
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- Prepare investor capital account statements and periodic reporting
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- Reconcile cash, investments, and accrued income/expenses across the fund
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- Support quarterly/annual financial statement preparation and audit processes
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- Track capital calls, distributions, and investor allocations
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- Flag discrepancies and work with the team to resolve them promptly
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What We're Looking For
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- Mandatory: Experience working with UK and/or European market funds/clients
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- Proven experience in fund accounting this is the core requirement
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- Hands-on experience calculating carried interest, performance fees, and per-investor NAVs
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- Robust working knowledge of Xero (required)
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- High attention to detail and comfort working with complex allocation structures
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- Ability to work independently and manage recurring reporting cycles
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Nice to Have (Not Required)
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- Experience with specialty credit or private credit investment structures
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- Background in private equity, private debt, or alternative investment fund administration
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