A wonderful opportunity to join a very recognised name within the London private credit market in a newly created role as the firm continues its growth trajectory. You will be operating in a team of specialist fund accountants, working with outsourced third parties in a very broad ranging role. You will be a fully qualified accountant with relevant fund accounting experience gained within private credit/debt. Role Oversight and review of quarterly NAV process with the fund administrator, including priority profit share and carried interest waterfall calculations Review of drawdown, distribution, equalisation and other LP event workings and applicable notices prepared by the fund administrator Analysis and calculation of fund and investment level performance metrics Review of quarterly reporting packs distributed to investors including fund and investment level information Review of annual financial statements and support during annual audit process Involvement in quarterly investment valuation process Exposure to various fund structures, FX strategies and leverage Liaise with internal Investor Relations and Deal teams re bespoke reporting requirements and ad hoc investor queries Involvement in fund cash flow projection modelling Understanding of and familiarisation with the relevant Limited Partnership Agreements Liaising with staff in Luxembourg and other European offices as necessary Liaising with internal central finance team Requirements You must be a fully qualified accountant (ACA, ACCA, CIMA) You must have requisite fund accounting experience, ideally gained from within private credit/debt or private equity Have excellent all round communication and inter-personal skills Willingness to learn and to take ownership of key tasks