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RemoteListed Jul 13, 2026

Accounting Manager, Funds & Corporate - Jersey

Ruth Maskell Recruitment

  • Accounting-Finance-Manager
  • Accounting-Manager
  • Accounting-Manager-Jobs
  • Corporate-Accounting
  • Finance
  • Financial-Accounting-Manager
  • Financial-Reporting
  • Fund-Accounting
  • Investment-Fund-Administration
  • Senior-Fund-Accounting-Manager

Assessed from original listing evidence

The role

Job description

Job Purpose

To support the Associate Director, Funds in leading the accounting function across a varied portfolio of Funds and Corporate client structures.

Key Result Areas

  • Manage accounting deliverables across a portfolio of fund and corporate structures, to include quarterly investor reporting and annual/semi-annual production of financial statements.
  • To support the Accounting team in preparing financial statements for a wide range of client structures, in line with applicable accounting standards (US GAAP, UK GAAP and IFRS), and conduct Manager reviews of the same.
  • To support the Accounting team in preparing NAV calculations on a periodic basis, and conduct Manager reviews of the same.
  • To review bookkeeping and management accounts as prepared by the team.
  • To provide support and coaching to the junior members of the Accounting team, as required.
  • To act as key contact for auditors, ensuring timely provision of requested deliverables (with support from the team).
  • To attend board meetings and client meetings where accounting input is required.
  • To review and sign-off on calculations related to investor transactions (drawdowns, distributions, equalisations, share issuances/redemptions).
  • To assist with client onboarding – migrations to Allvue, set up of template reporting documents.
  • To support with wider projects on the team where necessary, for example preparation and submission of tax returns, FATCA/CRS reporting.
  • To assist the Administration team during pinch points.
  • To ensure adherence to policies and procedures, and identify opportunities to improve processes and enhance operational efficiency and accuracy.
  • To create and implement client specific procedures, as required.
  • To contribute to departmental projects and business initiatives, where applicable.

Qualifications and Experience

  • Qualified ACA or ACCA, or equivalent 2+ years PQE (5 years total experience, either in audit or a fund accounting role)
  • Experience in preparing and reviewing financial statements under US GAAP, UK GAAP and IFRS

Originally posted on Himalayas

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