Job Summary
Manage key client relationships to deliver exceptional service and exceed expectations. Formulate and implement effective client service strategies, fostering strong internal partnerships to ensure seamless execution.
Regularly visit clients to assess service quality and identify areas for improvement, resolving complex issues promptly and efficiently. Collaborate with team members to develop their skills and enhance overall performance.
Liaise with clients on reporting requirements and deadlines, ensuring timely delivery of high-quality results. Proactively identify potential risks and recommend solutions to mitigate them.
You will be responsible for overseeing the administration of current and potential new funds, analyzing data to inform business decisions and drive growth.
About You:
* Bachelor's degree in Accounting or Finance, or a related field, and/or professional accounting certification (e.g., ACA, CIMA, ACCA)
* 7-10 years of experience in Financial Services, preferably within Product Control, Operations, or Fund Accounting environments, particularly in Private Equity
* Demonstrate expertise in Private Equity Fund Accounting, including negotiation, business planning, budgeting, margin analysis, rating agency relations, and technical accounting