Fund Accountant

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Full time
Location: Southampton
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Job offered by: Michael Page (UK)
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Category:
Immediate start Financial Services About Our Client A business in the Financial Services sector. Job Description To provide accounting support for our accounting teams. Support on the client relationships for the allocated portfolio. If applicable, be the primary contact for clients with frequent contact and regular in-person client meetings. Plan all deadlines and work allocations for the clients. Production of monthly/quarterly NAVs. Overseeing and preparation of consolidated reporting and financial statements, both at asset and fund level, including supporting files and review of work produced by team. Preparation of statutory financial statements in accordance with IFRS or UK GAAP. Compile and analyse financial information underlying the financial statements, including the treatment of business transactions. Assistance with preparation and/or review of bookkeeping and reporting from junior members of the team. Implementing policies, procedures and checklists where necessary. Bank debt covenant reporting. Investor tax, CIS and VAT reporting. Lead year-end audits. Organise take-on and set-up of new clients. Work effectively with the senior members of the Accounting team to ensure smooth transition of new work into the business. Ensuring all regulatory and statutory reporting deadlines and filings are achieved. Responsible for team planning, monitoring deadlines and coaching and developing junior staff members. As part of your duties, all employees must ensure adherence to internal policies and procedures and meeting all personal AML obligations. The Successful Applicant Qualifications: The candidate will be ACA, ACCA or CIMA (or equivalent) qualified and have a minimum of 2 years' proven experience at FA level. Skills and Experience/Technical Knowledge: Strong technical accounting skills, ideally gained within real estate funds or an asset management environment. A comprehensive understanding of UK GAAP and IFRS and other relevant accounting standards, and related preparation of statutory financial statements and auditor liaison. Ability to write reports, business correspondence, procedures manuals, and performance measurement reports at asset and fund level. Strong Excel knowledge. Ability to solve practical problems and deal with a variety of situations for which there may be little precedence. Excellent interpersonal and communication skills. Confident and proactive approach and professional attitude to work. Highly organised with good time management and planning skills. Experience in on-the-job training and leading team members. A deep understanding of the agreements associated with private equity and real estate structures and interpretation of terms within including LPA, debt documentation, sale and purchase agreements, leases, etc. What's on Offer An attractive salary and benefits package. Fixed Term Contract.

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