Fund Accounting Manager

Reposted 11 Days Ago
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London, Greater London, England, GBR
In-Office
Senior level
Fintech • Information Technology • Financial Services
The Role
Leads the fund accounting function, overseeing NAV production, daily P&Ls, valuation governance, regulatory reporting, audited financial statements, outsourced providers, fund rebalancing, FX hedging, and management information. Manages and develops the team, supports governance bodies, maintains strong controls, and drives finance process improvements. Requires deep asset management fund accounting expertise, ACA qualification, at least five years of post-qualification experience, degree-level education, and robust people management skills.
Summary Generated by Built In
The Fund Accounting team is based in our London office. The successful candidate will lead the team and work closely with other support functions. We are looking for an experienced fund accounting professional who can contribute immediately. The ideal candidate will have a thorough understanding of all aspects of fund accounting, strong commercial awareness and the ability to manage multiple priorities in a fast-paced, high-volume environment.

Key Responsibilities
  • Managing the monthly NAV process;
  • Maintaining a strong control environment for the production of daily P&Ls, official estimates and final monthly NAVs;
  • Managing the Fund Accounting team;
  • Chairing the Valuation Committee and ensuring adherence to the valuation policy, keeping it current, comprehensive and accurate;
  • Producing and reporting recurring and ad hoc management information, including track records, attribution and scenario analysis, to stakeholders across the firm, including senior management, Client Services and the Sales team;
  • Managing the regulatory reporting process for the funds;
  • Managing the audited financial statements process for the fund entities;
  • Managing relationships with outsourced service providers, including external administrators and auditors;
  • Preparing materials for the firm's governance bodies, including the Corporate Board, Fund Boards and Executive Committee;
  • Managing the internal fund-of-funds rebalancing processes;
  • Managing the FX hedging processes for the funds; and
  • Driving continuous improvement across the wider Finance team to support the firm's growth, scalability and efficiency as it develops additional fund products for investors.
People Management
  • Holding informal and formal meetings with team members, including quarterly one-to-one meetings and annual appraisals;
  • Recruiting and inducting new colleagues;
  • Planning, organising and regularly reviewing the team's aims, objectives and priorities;
  • Leading and motivating the team to maximise individual and departmental performance;
  • Setting clear standards, expectations and parameters to encourage a unified team;
  • Managing poor performance effectively, when necessary, for the benefit of the individual, the team and the Company; and
  • Undertaking day-to-day line management duties, including approving annual leave and managing absence.

Skills, Knowledge and Expertise
  • Experience working within a hedge fund environment;
  • Detailed knowledge of fund accounting, including equalisation credits, contingent redemptions and series accounting, is essential and will be discussed in depth during the interview;
  • Ability to consider and discuss hypothetical scenarios and generate ideas relating to fund accounting;
  • Excellent communication skills, with the ability to interact effectively with colleagues at all levels;
  • Strong organisational skills and the ability to manage competing priorities and projects within tight deadlines;
  • Appropriate IT skills; and
  • Demonstrable experience in effective people management.
Educational & Professional Qualifications
  • ACA qualified (or equivalent) coupled with a minimum of five years of post-qualification experience; and
  • Educated to degree level or higher (or equivalent).

Benefits
Systematica Investments provides you with excellent benefits from day 1.  We provide private medical insurance for you and your immediate family.  We offer competitive salaries combined with an attractive bonus and pension plus free drinks and snacks at the office.  We also offer paid parental leave with enhanced leave for mothers/primary carers. 
We are an equal opportunity employer and value diversity at our company. 

About
Systematica Investments, launched in January 2015 after a decade of experience within BlueCrest Capital Management, is an innovative technology-driven firm focused on a quantitative and systematic approach to investing. The firm was founded by Leda Braga and manages assets across a number of futures, equity and OTC based strategies.The philosophy of the firm is one of innovation, excellence in research and a commitment to fostering a strong alignment with investors. Systematica Investments has a global presence with offices in Jersey, Geneva, London, New York, Singapore and Shanghai.

Skills Required

  • Employment within an asset management environment
  • Detailed knowledge of fund accounting, including equalisation credits, contingent redemption, and series accounting
  • Excellent communication skills and ability to interact with staff at all levels
  • Strong organisational skills and ability to manage competing priorities and projects to tight deadlines
  • Appropriate IT skillset
  • Demonstrable and robust people management experience
  • ACA qualified or equivalent
  • Minimum five years of post-qualification experience
  • Degree-level education or equivalent
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The Company
Year Founded: 1989

What We Do

Systematica Investments is a quantitative investment management firm focused on a systematic approach to investing, leveraging science and technology.

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