Job Description
Finance Analyst
Management Company Reporting
- Assist and review monthly management accounts prepared by administrator. This includes monthly variance analysis, answering questions, and sending require inputs to outsourced accountants
- Provide first draft view of budget vs actual into slides to provide to stakeholder
- Assist external service provider with quarterly regulatory and VAT reporting
- Assist and support auditors for the preparation of annual financial statements and partnership tax return
- Aid with the timely preparation of annual financial statements for group entities outside of the LLP
- Liaise with fund controllers for the preparation of quarterly management and ancillary fee invoicing
- Complete and invoice funds for recharges of professional fees
- Manage the accounts payable process and ensure payments are being made on time
- Review of bank reconciliations
- Ad hoc support during month, quarter and year-end
- Project work including supporting the implementation of new administrator and invoicing system for the management company.
Fund Reporting and Treasury
- Assist Fund Controller / Fund Accountant with review of quarterly NAV coordinating with administrators.
- Assist Fund Controller / Fund Accountant with audit queries.
- Preparation and monitoring of internal deal costs reporting and TER.
- Responsible for reviewing Fund Invoices and instructing payments across high number of Fund / SPV entities and coordinating with administrators where needed.
- Responsible for deal closing treasury, inputting payments and working with the fund controllers to log cash movements between companies in the Fund structure.
- Responsible for maintaining relationships with banks across Fund structures with regards to regular communications and administration on updating authorized signatories, KYC, etc.
Contact Detail:
One Ten Associates Recruiting Team