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Fund Controller
- London (hybrid)
- 6-month contract (day rate)
- Pan-European
- Real Estate Investment Management
About the Company
Our client is a leading pan-European real estate investment manager with a diversified portfolio spanning multiple sectors, including office, logistics, retail, residential, and mixed-use assets. With a commitment to delivering long-term value for investors, the business combines local market expertise with a rigorous institutional investment approach.
Role Overview
We are seeking an experienced Interim Fund Controller to oversee the financial operations, reporting, and governance of multiple real estate investment vehicles. Acting as a key bridge between asset management, finance, and senior leadership, the role will ensure timely, accurate, and compliant reporting while supporting strategic decision-making.
This position is ideal for a technically strong finance professional with prior experience in real estate funds who can quickly integrate into a fast-paced environment and deliver to tight deadlines.
Key Responsibilities,
Fund & Financial Management
- Lead the financial control, reporting, and oversight of assigned funds across multiple jurisdictions.
- Review and approve quarterly and annual financial statements in line with IFRS and/or local GAAP.
- Manage the fund-level budgeting, forecasting, and cash flow processes.
- Oversee capital calls, distributions, and investor reporting.
Reporting & Compliance
- Ensure all fund reporting meets investor, regulatory, and internal requirements.
- Liaise with external auditors, tax advisers, and fund administrators to manage year-end processes.
- Maintain compliance with fund governance frameworks, legal structures, and jurisdictional regulations.
Stakeholder Engagement
- Work closely with the asset management team to understand portfolio performance and integrate into financial forecasts.
- Provide financial insight and analysis to support investment decisions and portfolio strategy.
- Act as the primary finance contact for investors, responding to queries and ad hoc requests.
Process Improvement
- Review and refine reporting processes to improve efficiency and accuracy.
- Support the implementation of new financial systems, controls, or reporting frameworks as required.
Key Requirements,
- Qualified accountant (ACA/ACCA/CIMA or equivalent).
- Proven experience as a fund controller, ideally within real estate investment management.
- Strong knowledge of IFRS, consolidation, and fund structures (including Luxembourg, Irish, or other European jurisdictions).
- Experience working with pan-European asset portfolios.
- Excellent Excel and financial modelling skills; familiarity with fund administration systems advantageous.
- Strong communication skills, with the ability to interact confidently with senior stakeholders and investors.
- Able to work independently, manage multiple priorities, and deliver under tight deadlines.