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Vice President, Fund/Client Accounting Manager

BNY Mellon · Dublin, Co. Dublin, Irlanda · Ireland

Vice President, Fund/Client Accounting Manager – Lead experienced fund accounting leader in Dublin. Drive high-quality fund and client accounting, develop teams, and implement process improvements.

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Vice President, Fund/Client Accounting Manager – Lead experienced fund accounting leader in Dublin.

Drive high-quality fund and client accounting, develop teams, and implement process improvements.

Due to continued business growth and new client wins, we are seeking a  Vice President, Private Equity Fund Accounting Manager  to join our  Accounting Services  team in  Dublin . This is an exciting opportunity for an experienced fund accounting leader to oversee the delivery of high-quality accounting and reporting services across private equity and alternative investment structures, while developing talent, enhancing controls, and driving operational excellence.

In this role, you will:

Lead and develop a team responsible for delivering fund and client accounting services for private equity and alternative investment structures.

Oversee the preparation and review of financial statements, NAV reporting packages, capital statements, and other key fund accounting deliverables, ensuring accuracy, completeness, and timeliness.

Manage accounting activity across the private equity fund lifecycle, including capital calls, distributions, investment activity, expense accruals, management fees, and carried interest calculations.

Review accounting and reporting for complex fund structures, including limited partnerships, feeder funds, SPVs, and related entities.

Ensure all deliverables meet client expectations, internal control requirements, accounting standards, and regulatory obligations.

Act as an escalation point for complex accounting, reporting, and client issues, partnering with stakeholders to deliver effective and controlled solutions.

Support quarter-end, year-end, and audit activity, coordinating closely with internal teams, external auditors, and clients.

Drive process improvements through standardization, control enhancement, and the effective use of technology.

Leverage technology, automation, and AI-enabled tools to improve reporting accuracy, streamline workflows, and enhance operational efficiency.

Build strong relationships with internal and external stakeholders to support a consistently high standard of client service.

Coach and develop team members, strengthening technical capability, leadership skills, and overall team performance.

Foster a team culture aligned to BNY’s principles through accountability, collaboration, client focus, and continuous improvement.

To be successful in this role, you’ll bring:

A bachelor’s degree in  Accounting, Finance, or a related discipline .

A professional accounting qualification such as  ACA, ACCA, CPA, or CIMA  preferred.

Significant experience in  fund accounting, private equity fund administration, alternative investment servicing, or client accounting .

Strong technical knowledge of  private equity fund accounting , including capital calls, distributions, investor allocations, management fee accounting, carried interest and waterfall calculations, portfolio investment accounting, period-end close, and financial reporting.

Experience preparing and/or reviewing financial reporting under  IFRS and/or US GAAP .

Strong understanding of private equity fund structures, including  limited partnerships, feeder vehicles, SPVs, and other private capital entities .

Demonstrated leadership and people management capabilities, including team development and performance oversight.

Strong analytical, problem-solving, and organizational skills.

Excellent communication and stakeholder management skills.

Proficiency with  fund accounting systems, general ledger platforms, and reporting tools .

Experience driving continuous improvement in a controlled, deadline-oriented environment.

Preferred experience:

Experience supporting  private equity, real estate, infrastructure, venture capital, or other alternative asset classes .

Familiarity with  multi-jurisdictional fund structures  and European servicing environments.

Knowledge of alternative investment accounting platforms such as  Investran, eFront, Geneva , or similar systems.

Experience supporting  new business onboarding, fund launches, or conversion activity .

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