Opportunity available
Fund Accountant
Victus Search, Multi-jurisdictional Recruitment Partner for Financial Services
Opportunity available
Guernsey
St Peter Port
On-Site
£60,000 - £70,000 Per Year
Victus ID 284
We have been exclusively assigned to recruit a Fund Accountant for our client based in Guernsey. This is a rare opportunity to join an entrepreneurial Private Equity and Venture Capital firm in-house. The organisation is dynamic and innovative, with a strong commitment to excellence. It fosters a collaborative and empowering culture where every team member’s contribution is truly valued.
The successful individual will specialise in the accounting of investment structures, with a particular focus on early-stage, high-growth investments. This is an excellent opportunity to join a dynamic and fast-paced environment, supporting a diverse portfolio of venture capital clients.
This role is key to delivering high-quality accounting services, ensuring regulatory compliance, and fostering strong relationships within the venture capital ecosystem.
Minimum of 2–4 years’ experience in fund accounting, ideally with exposure to private equity or venture capital structures
ACA or ACCA qualified
Experience in the preparation and review of financial statements and reporting packs
Strong organisational skills with excellent attention to detail
Proven ability to manage multiple tasks and deadlines simultaneously
Strong interpersonal and communication skills
Able to work independently as well as part of a collaborative team
Proficient in Microsoft Office (Excel, Word, Outlook, PowerPoint essential)
Familiarity with limited partnership agreements
Understanding of the venture capital investment cycle and ecosystem
Motivated to learn new processes and systems
Capable of working under pressure and meeting tight deadlines
Discreet, professional, and self-driven
Strong written, verbal, and interpersonal communication skills
Commercial awareness and ability to foresee potential issues in a fast-changing environment
Support the review and reconciliation of fund administrator-prepared NAVs
Assist in validating portfolio valuation inputs, management fee calculations, carried interest models, and fund waterfall structures
Review capital calls, distributions, and investor allocations to ensure alignment with LPA terms
Assist in the preparation and review of quarterly and annual financial statements
Support the year-end audit process
Oversee the general ledger and sub-ledgers for fund entities
Provide assistance on ad-hoc projects, reporting, and client queries as required
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