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Carnegie Consulting
London, UNITED KINGDOM
(on-site)
Posted
1 day ago
Carnegie Consulting
London, UNITED KINGDOM
(on-site)
Job Function
Certified General Appraiser
Fund Accountant Private Debt Credit
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Fund Accountant Private Debt Credit
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
Fund Accountant Private DebtMid level opportunity for a qualified or nearly-qualified finance professional to take ownership of day to day fund accounting operations across private credit fund structures for a $20 billion AUM private debt credit fund.
The Fund Accountant will work across commingled funds and single mandate structures, taking responsibility for a defined set of funds and reporting deliverables.
Key Responsibilities
Cash Management & Reconciliations
- Own and maintain fund cash books, including daily reconciliations of cash movements across all fund bank accounts with accurate split of principal and interest
- Prepare and deliver regular cash capacity updates to the team, liaising with the administrator to confirm all reported balances are correctly stated
- Coordinate utilisation requests in respect of bridge loan facilities
- Liaise with the Loan Operations team on available deployment capacity for assigned funds, ensuring cash positions are accurately reflected and communicated
- Initiate and coordinate cash sweeps between fund bank accounts as required, ensuring timely execution and accurate recording
- Prepare and maintain cash flow forecasts for assigned funds, projecting inflows and outflows across capital calls, distributions, interest receipts, and fee payments
Administrator Oversight
- Serve as the primary day-to-day liaison with third-party fund administrators ensuring all accounting and administrative tasks are completed accurately and on time
- Review and challenge administrator-prepared NAV calculations, trial balances, and periodic reports before sign-off
- Monitor service levels and escalate any recurring issues to the Financial Controllers
- Coordinate with administrators on capital call and distribution processing, ensuring all notices are accurate and issued on schedule
- Support the documentation and cross-training of fund administration processes and procedures
Reporting
- Take primary responsibility for the end-to-end accounting and reporting cycle for one or two single mandate (fund of one) structures
- Review quarterly management accounts for assigned funds prepared by the fund administrator, ensuring consistency with underlying records and LP agreements
- Prepare and review periodic financial statements for assigned single mandate funds, ensuring compliance with relevant accounting standards (IFRS) and LP agreements
- Maintain accurate and up-to-date fund data for assigned structures, including interest vs. principal cash, IRRs, and portfolio-level metrics
- Assist with ad-hoc reporting and Investor queries when required
- Prepare or review annual financial statements for assigned funds in accordance with IFRS and relevant fund documentation, working closely with the administrator and Financial Controllers
- Coordinate the collation of all supporting documentation and sign-off packs required for financial statement sign-off
Audit and Tax
- Act as a key point of contact for external auditors during the annual audit process.
- Liaise with tax advisors to provide information, reconcile tax accruals, and support/review the preparation of tax returns for assigned funds. Review VAT returns
- Maintain strong working relationships with all external service providers, escalating issues to the Financial Controllers where appropriate
Qualifications and Skills
- A degree in Accounting, Finance, or a related discipline
- Qualified or nearly-qualified ACA, ACCA, or CIMA (or equivalent)
- 2-4 years' experience in fund accounting,
- Strong numerical aptitude and high attention to detail, particularly in reconciliation and transaction-level work
- Proficiency in Microsoft Excel; experience with fund accounting or loan book systems (e.g. eFront, Geneva, Investran, or similar)
- Clear and professional communication skills, with the ability to liaise effectively with internal teams, administrators, and external agents
Desirable
- Experience with Luxembourg-based fund structures
- Familiarity with private debt, credit fund structures, or loan book management
- Experience preparing or reviewing management accounts or annual financial statements for investment funds
- Exposure to IFRS 9 ECL frameworks or fund valuation processes
- Experience with AIFMD reporting or regulatory fund filings
- Experience working with external auditors or tax advisors in a fund context
Personal Attributes
- Ownership mindset - takes accountability for assigned funds and deliverables end-to-end
- High attention to detail with a structured, methodical approach to complex reconciliations
- Proactive and well-organised, able to manage multiple deadlines across fund structures simultaneously
- Confident communicator - able to challenge administrators constructively and liaise effectively with senior colleagues
- Team player who supports peers and is willing to assist across functions as needed
- Adaptable and resilient in a fast-paced, deadline-driven environment
- Eager to develop technical expertise and grow within the fund finance function
Job ID: 83628990
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Data is collected and updated regularly using reputable sources, including corporate websites and governmental reporting institutions.
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