Fund Accountant, Private Equity - FTC 12 months

Fund Accountant, Private Equity - FTC 12 months
Location
Southampton, WHIT, PO157AD, GBR • Gen II (UK) Southampton
Experience
Entry
Posted
Jul 10, 2026
Apply by
August 9, 2026
Applicants
0
Job Description
Key Responsibilities
- Record journal entries related to fund transactions and associated fund structures
- Reconcile bank accounts, investments, and other account balances
- Maintain general ledgers
- Assist in preparation of financial statements, investor reports, and other financial reporting deliverables
- Assist in preparation of Fund NAV packs and working papers
- Coordinate with auditors during year-end audits and respond to audit queries
- Assist in processing capital calls and distributions to investors
- Assist in responding to investor queries
- Assist in relevant fee computations such as management fees and carried interest
- Operate within an ISAE 3402 controls environment
- Liaise with external contacts to obtain and provide required information
- Assist with and contribute to ad hoc projects as required
Requirements
- Actively studying towards a recognised accounting qualification (ACCA or ACA)
Skills Required
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