Overview
As a Fund Management Accountant at a Central London VC, you support fund and investor finance, compliance, and portfolio administration. You’ll work in a small, proactive team to manage reconciliations, investor onboarding, and regulatory reporting while coordinating with outsourced accountants. Your impact spans cash flows, management accounts, and CMAR/AML/KYC processes to keep funds compliant and running smoothly. This is a hands-on role with scope to influence governance and investor relations.
Responsibilities
- Investor onboarding and KYC/AML checks
- Prepare investor statements and valuations
- Custody of share certificates and EIS administration
- Fund reconciliations in line with CASS
- Collaborate with outsourced accountants on annual and quarterly accounts
- Assist with FCA reporting and CMAR submissions
- Produce cash flows, management accounts and financial reports for incubated portfolio companies
- Maintain up-to-date compliance manuals and test scenarios
- Monthly, quarterly and annual CASS reporting
- Coordinate with compliance consultants to ensure FCA permissions
Key requirements
- 3–5 years of experience in reconciliation and accounting roles
- strong numerical ability and attention to detail
- logical thinker with good prioritisation and multi-tasking skills
- strong work ethic and proactive, hands-on approach
- personable, energetic and able to see tasks through to completion
- ability to meet deadlines and manage changing priorities
- attention to detail
- logical thinking
- strong work ethic
- KYC/AML checks
- EIS administration
- CASS compliance and reporting
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