Secondaries & Primaries - Finance Analyst | London (M/F)

Secondaries & Primaries - Finance Analyst | London (M/F)

Posted 1 week ago by Ardian

Negotiable
Undetermined
Undetermined
London, England, United Kingdom

Summary: The Fund Finance Analyst role involves overseeing the analytical, financial, and accounting aspects of a private equity investment fund, focusing on both secondaries and primaries. Key responsibilities include performance analysis, quarterly valuations, and investor reporting, while collaborating with international teams. The position requires strong analytical skills and the ability to adapt to evolving processes within a multicultural environment. Candidates should have a relevant academic background and some experience in finance or related fields.

Key Responsibilities:

  • Analysis and reporting of Portfolio and Investors performances of each investment vehicle.
  • Preparation of quarterly valuations of funds to be reported to the valuation committee.
  • Computation of performance indicators (IRR, DPI, TVPI) on a quarterly basis.
  • Reporting to investors on a regular and ad-hoc basis through multiple channels based on finalized valuations.
  • Build relationships with colleagues across various geographical locations.
  • Communicate with teams involved in the exchange of financial and qualitative information.
  • Monitoring and control of fund cash flows at both Investor and Portfolio level.
  • Control and review of accounting and quarterly financial statements of the funds.
  • Responsibility for debt and interest payments and reporting to debt providers.
  • Contribute to internal team projects on a fixed and ad hoc basis.
  • Legal and regulatory watch around the fund of funds environment.
  • Utilize IT tools to fulfill duties effectively.
  • Participate in new deal setups and prepare fund flows for various operations.

Key Skills:

  • Proficient in Microsoft business packages.
  • Experience with Alteryx and Business Objects is a plus.
  • Coding skills (e.g., Python) and appropriate usage of AI are advantageous.
  • Knowledge of financial statement analysis and valuation techniques.
  • Ability to organize and perform work efficiently.
  • Strong academic background; master's degree in finance, Business, Accounting, or related field.
  • 0 to 3 years of relevant experience in Corporate Finance, Public Accounting, Asset Management, or Financial institutions.
  • Experience in Private Equity fund is a plus.
  • Strong interpersonal skills and inquisitive nature.
  • Able to work in a multicultural and fast-paced environment.
  • Result-driven with an analytical mindset.

Salary (Rate): undetermined

City: London

Country: United Kingdom

Working Arrangements: undetermined

IR35 Status: undetermined

Seniority Level: undetermined

Industry: Other

Detailed Description From Employer:

Role : The Fund Finance Analyst role is to oversee and manage all the analytical, financial, and accounting aspects of a (secondaries and primaries) private equity investment fund. Here are the main tasks:

  • Analysis and reporting of Portfolio and Investors performances of each investment vehicle.
  • Preparation of quarterly valuations of funds to be reported to the valuation committee.
  • Computation of performance indicators (IRR, DPI, TVPI) on a quarterly basis.
  • Reporting to investors on a regular (Valuation conference, Advisory Boards, Management reports) and ad-hoc basis through multiple channels based on finalized valuations.
  • As a member of the London FF - S&P team, build relationships with colleagues on the team in New York, Montreal, Paris, Frankfurt and Zurich as the role is cross geographical.
  • Communicate with the teams involved in the exchange of information both financial and qualitative Front Office with the different offices mainly in Paris, London, Frankfurt, New York, San Francisco, and Singapore.
  • Administrators based either in Jersey, UK., the US and Luxembourg. Banks, Legal Counsel, and other service providers as necessary.
  • Monitoring and control of fund cash flows both at Investor and Portfolio level (including a follow up of hedging contracts and FX gain/loss).
  • Control and review of accounting and quarterly financial statements of the funds including liaising with external fund administrators and fund accountants.
  • Responsibility for debt and interest payments and various reporting to debt providers.
  • Ability to understand impact of leverage recommendations on portfolio and investor performance.
  • Contribute to internal team projects on a fixed and ad hoc basis.
  • Mindset to continually adapt to and contribute to improved processes across the function.
  • Legal and regulatory watch around the fund of funds environment (AIFMD, regulatory body: FCA, CSSF, SEC…).
  • Use the IT tools to their full extent to fulfill the above duties (eFront/Business Objects).
  • Upon the candidates' capabilities and progression, they will progressively be involved in further tasks such as:
  • Participate to new deal set ups to ensure that modeling issues are covered and ensure that the models in place are in line with the Legal documentation.
  • Prepare the fund flows for various operations (deal fundings, syndications, investor reallocations, active portfolio management).

Required Skills

  • Proficient in suite of Microsoft business packages.
  • Alteryx and Business objects experience a plus.
  • Coding (eg Python) and appropriate usage of AI are also a plus.
  • Knowledge of financial statement analysis and valuation techniques.
  • Ability to organize and perform work efficiently.

Profile

  • Strong academic background; master's degree in finance, Business, Accounting, or another related field.
  • 0 to 3 years of relevant experience (Corporate Finance, Public Accounting, Asset Management, Financial institutions…).
  • Private Equity fund is a plus.
  • Strong inter-personally - inquisitive by nature and enjoy multiple challenges.
  • Able to work in a multicultural and fast paced environment.
  • Result-driven, deliver a high-quality work.
  • Analytical mindset.