Fund Controller | Private Equity Real Estate Fund
Listed on 2026-06-27
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Finance & Banking
Financial Reporting, Financial Analyst, Real Estate Finance, Corporate Finance
A privately owned real estate investment manager is adding to its fund finance and operations team in London.
This will be particularly relevant for someone ACA-trained from practice who has since moved into real estate investment management and is now thinking carefully about the next step.
The first move gives you the technical foundation.
The second move should give you more ownership, more context, and a closer view of how a real estate investment platform actually runs.
Responsibilities- Investor reporting
- Cash management
- Fund operations
- Compliance support
- Administrator oversight
- Audit and tax processes
- Controls around fund information and reporting
The work sits close to the assets, the investors, the fund structures and the operational decisions behind the platform.
That is what makes the role interesting.
You are not just reviewing outputs at the end of a process. You are helping make sure the process works properly in the first place. That means accurate information, well managed deadlines, coordinated advisers, clear investor reporting and proper control over what the finance function is sending out.
QualificationsThe role would suit an ACA qualified accountant with experience across real estate funds, private equity, fund administration or investment management.
It could be a strong fit for someone who qualified in practice, made their first move into a real estate fund, and is now ready for a broader role across fund finance, operations and investor reporting.
The right person will be technically strong, organised and detail led, but also curious enough to understand the fund, the asset, the investor and the operating model behind the numbers.
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