Prepare management accounts, investor reports, and annual financial statements. Perform reconciliations, bookkeeping, and treasury reporting. Assist with drawdowns, distributions, compliance reporting, and investor queries. Support process improvements and junior team members. Requires ACA, ACCA or CIMA qualification, and previous experience in fund accounting or alternative investments preferred.
Fund Accountant
Guernsey
Permanent
Agency Listing
Accounting
Investments
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