Opportunity available
1200
627
Country
Guernsey
City
St Peter Port
Job type
On-Site
Salary
£60,000 - £70,000 Per Year
Our Reference
Victus ID 284
Category
Christopher CostiWe 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.
Key Requirements
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Minimum of 2–4 years’ experience in fund accounting, ideally with exposure to private equity or venture capital structures
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ACA or ACCA qualified
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Experience in the preparation and review of financial statements and reporting packs
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Strong organisational skills with excellent attention to detail
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Proven ability to manage multiple tasks and deadlines simultaneously
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Strong interpersonal and communication skills
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Able to work independently as well as part of a collaborative team
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Proficient in Microsoft Office (Excel, Word, Outlook, PowerPoint essential)
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Familiarity with limited partnership agreements
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Understanding of the venture capital investment cycle and ecosystem
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Motivated to learn new processes and systems
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Capable of working under pressure and meeting tight deadlines
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Discreet, professional, and self-driven
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Strong written, verbal, and interpersonal communication skills
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Commercial awareness and ability to foresee potential issues in a fast-changing environment
Key Responsibilities
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Support the review and reconciliation of fund administrator-prepared NAVs
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Assist in validating portfolio valuation inputs, management fee calculations, carried interest models, and fund waterfall structures
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Review capital calls, distributions, and investor allocations to ensure alignment with LPA terms
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Assist in the preparation and review of quarterly and annual financial statements
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Support the year-end audit process
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Oversee the general ledger and sub-ledgers for fund entities
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Provide assistance on ad-hoc projects, reporting, and client queries as required