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Fund Accounting Manager - AIF

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  • Act as a functional subject matter expert for end‑to‑end fund administration and regulatory reporting across Private Equity and AIF Category I & II funds.
  • Analyze and understand complex operational, accounting, and regulatory issues and provide effective, practical solutions.
  • Lead new fund onboarding, transitions, and fund setup, including coordination across internal teams and external stakeholders.
  • Manage investor onboarding, ensure accurate documentation, and oversee smooth operational integration.
  • Review and provide oversight on NAV packs, financial statements, waterfall calculations, PCAP, and other fund reporting for complex fund structures.
  • Serve as the primary relationship manager for assigned clients, ensuring strong client engagement, timely communication, and issue resolution.
  • Seamlessly collaborate with internal teams, external service providers, auditors, and other counterparties to ensure consistent and high‑quality delivery.
  • Functionally own and manage 5–6 client relationships, ensuring adherence to SLAs and regulatory requirements.
  • Train, mentor, and guide junior team members, monitor their progress, and ensure skill development and delivery excellence.
  • Lead and execute projects associated with business expansion, process improvements, transitions, or regulatory changes, as required.

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