Senior Fund Controller - Real Estate
Listed on 2026-03-07
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Finance & Banking
Corporate Finance, Financial Analyst
Compensation: £90,000 – £110,000 base + performance-linked bonus and benefits
Location: London (flexible working model)
Mandate: Exclusive
A highly entrepreneurial real estate investment platform is building out its core finance leadership and is appointing a Senior Fund Controller to take early ownership of a fast-scaling, asset-intensive portfolio.
This is a rare opportunity to join at a genuine inflexion point: committed capital, live assets, and an active pipeline, with the finance function still deliberately lean and highly influential.
The PlatformThe business is founder-led, execution-focused and scaling across operational and value-add real estate creating unusually direct exposure to asset-level performance, capital deployment and investor outcomes.
The successful hire will sit at the centre of the platform, shaping how reporting, controls and decision-making are built as the portfolio grows across geographies and mandates.
The Opportunity- Early-stage platform with significant committed capital and live assets
- Direct exposure to asset-level performance, liquidity and capital partner reporting
- Genuine autonomy and ownership from day one
- Opportunity to design “how things are done”, not inherit legacy processes
- High visibility to founders, investors and asset leadership
This is not a back-office or administrator-led role. It is a commercial fund finance seat with real accountability, judgement and influence.
Role OverviewYou will take end-to-end ownership of fund and portfolio reporting across a growing real estate strategy, operating in a deliberately lean environment with no in-house legal or tax function. The role suits someone comfortable being the financial owner, anticipating issues and managing external advisers.
Core Responsibilities- Ownership of fund and investor reporting, capital accounts and liquidity oversight
- Acting as the primary point of accountability for audits, administrators and advisors
- Narrative-led investor reporting, anticipating capital partner questions
- Oversight of governance, controls and best-practice reporting frameworks
- Supporting acquisitions, refinancings, capex programmes and new structures
- Close interaction with asset-level finance and operating teams
- Review and challenge budgets, forecasts, operating performance and cash flow
- Translate asset-level data into decision-ready insight for senior stakeholders
- Understand tax and structural implications on performance and funding
- Partner with investment and asset management teams on live assets
- Maintain and review financial models and commercial assumptions
- Support underwriting, new transactions and portfolio-wide analysis
- Provide a strong financial lens to investment and operational decision-making
You are likely to be:
- Practice-trained (or equivalent) with experience in real estate private equity or operational real estate funds
- Used to operating in small or mid-sized platforms with real ownership rather than narrow role definition
- Commercially minded, able to interpret data and shape narrative — not just produce reports
- Comfortable dealing directly with senior leadership and capital partners
- Motivated by responsibility, impact and platform growth rather than hierarchy
Sector specialism in hospitality or operational real estate is helpful but not essential
. Judgement, curiosity and accountability matter more.
- Get in early and help shape a growing real estate investment platform
- Broad, hands‑on remit with genuine influence over outcomes
- Direct exposure to capital partners and asset-level performance
- Clear runway to grow with the business as capital and mandates expand
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