Job Description We are looking for a dynamic and self-motivated professional to join our Private Markets financial operations team. In this role, you will manage portfolio performance reporting for our semi-liquid private equity fund, focusing on liquidity management, third-party administrator collaboration, and overseeing semi-liquid reporting processes. The ideal candidate will have solid experience in private equity fund accounting and controlling, with a focus on semi-liquid funds, and the ability to thrive in a fast-paced, global environment. Key Responsibilities Oversee, manage, and review Net Asset Value (NAV) and investor reporting processes for semi-liquid private equity funds, ensuring timely and accurate delivery to clients and stakeholders; Monitor and manage the liquidity profile of the semi-liquid fund, ensuring that liquidity requirements are met, and that cash flows are managed effectively to support investment decisions and fund operations; Support audit processes, liaising with auditors and third party administrator to ensure smooth execution; Act as the main point of contact for the semi-liquid fund, working closely with internal and external stakeholders to coordinate investment controlling activities, ensuring seamless communication and information flow; Review and implement best practices and controls for monitoring and validating the semi-liquid funds financials, including liquidity analysis, asset valuations, and investor performance reporting; Lead strategic projects aimed at enhancing reporting processes, improving fund operations, or optimizing performance tracking for semi-liquid investment structures; Provide technical guidance and support to the team on complex accounting, financial analysis, liquidity management, and investment structuring matters Requirements Native or business fluent in English; proficiency in German, Italian or French is an asset; A minimum of 5 years of experience in private equity fund accounting, controlling, or auditing, with a strong focus on semi-liquid fund performance monitoring or reporting; Experience working with third-party administrators and a deep understanding of their role in financial reporting and data feeds for semi-liquid funds; Strong accounting knowledge with the ability to review, validate, and reconcile data provided by third-party administrators, especially in the context of semi-liquid and private equity reporting; Proven experience in managing complex financial operations, particularly for semi-liquid private equity funds; Excellent organizational, analytical, and problem-solving skills with a keen eye for detail in financial reporting and liquidity management; Strong interpersonal and communication skills, with the ability to build relationships across multiple teams and levels of an organization; A proactive, responsible, and accountable team player, with a passion for delivering high-quality outcomes in a fast-paced environment. #LI-BM1