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Fund Accounting Manager

Kepler Search · Luxembourg

Senior 🇬🇧 English
LUXGAAP USGAAP NAV calculation

Job description

About the role

We are seeking a Fund Accounting Manager to lead a small team of fund accountants in Luxembourg and oversee outsourced activities. The role involves managing all financial functions for a portfolio of private equity and real estate (PE/RE) clients, ensuring accurate NAV calculations, reporting and compliance.

Key responsibilities

  • Lead, develop and supervise a team of PERE fund accountants, ensuring deliverables and deadlines are met.
  • Oversee accounting processes including NAV calculations, statutory, investor and regulatory reporting, and tax/audit coordination.
  • Manage relationships with third‑party service providers and act as the primary point of contact for the Head of Fund Accounting.
  • Build and maintain relationships with internal and external stakeholders across corporate and transfer agency teams.
  • Coordinate operations with Corporate and Transfer Agency functions to ensure seamless service delivery.

Required profile

  • Minimum 5 years of experience in fund administration, with at least 3 years focused on PE/RE funds.
  • Proven experience managing and supervising a team of fund accountants.
  • Hands‑on experience overseeing NAV calculations for PERE funds.
  • Business fluency in English; additional languages are a plus.
  • Strong knowledge of LUXGAAP and USGAAP accounting standards.

Required skills

  • LUXGAAP
  • USGAAP
  • NAV calculation
  • Fund administration for PE/RE funds
  • Accounting processes and reporting

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Published 4 months ago

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Kepler Search

Luxembourg