Oversee the financial reporting for multiple venture capital funds and related entities
Review quarterly and annual financial statements, valuation inputs, and supporting schedules
Support audit processes and liaise with auditors and fund administrators
Act as the primary point of contact for external providers (fund administrators, auditors, tax advisors, corporate secretarial)
Manage timelines, deliverables, and quality of output across all providers
Partner closely with internal stakeholders, including Partners and investment team, on finance-related matters
Oversee the finance operations of the management company (including AP/AR, payroll, and expense management)
Lead monthly and quarterly management reporting, including analysis and insights for leadership
Manage cash flow forecasting across both funds and management entities
Ensure compliance with relevant regulatory requirements across jurisdictions, where applicable
Coordinate tax filings and reporting obligations with external advisors
Maintain and improve internal controls and governance processes
Manage and develop a small finance team across:
Fund accounting
Operational finance
Identify opportunities to improve processes, systems, and reporting efficiency, including leveraging AI and automation to enhance accuracy, scalability, and insight generation
Requirements
5–8+ years of experience in finance, accounting, or fund management
Background in venture capital, private equity, fund administration, or professional services
Experience managing external service providers and working across multiple entities/jurisdictions
Qualified or working towards CPA / CA / ACCA
Strong attention to detail with the ability to operate in a fast-paced, lean environment
Tech-enabled mindset, with experience or strong interest in using AI and automation to drive efficiency, scalability, and better decision-making across finance operations
Excellent stakeholder management and communication skills