Altus Partners have partnered with a growing Alternative Investment Manager that is looking top bring on a Finance Director in their newly created Paris Office to oversee the finance function as the business goes through a period of significant growth. The business is a growing Private Markets firm that focusses on investing across Europe is expecting to double its AUM over the next 5 years. The business is going through an exciting phase as they are expanding globally as well as growing their team globally. This position will hold pivotal responsibilities as it will be working with the London management.
The business is looking to bring on a Finance Director to work directly with the COO and lead the finance and operations responsibilities across both the funds and the management entity. The role will be the main point of contact through the business for all finance and operations. The business is going through a significant growth phase and this allows the person to take full responsibility for the function. The successful candidate will need to be a strong communicator and have a strong understanding of Private Equity and Loans fund structures.
Ensuring the smooth running of the investment vehicles and management companies, working closely with the senior management execute strategy.
Managing all third-party service providers and serving as the primary point of contact.
Performing a regular review of the service providers covering: quality of work, costs, scope of activities performed and investigating alternative providers where appropriate.
Management of the annual audit process for each entity, oversight of the audit relationship,
Working with service providers to structure new investment vehicles, ensuring that they will be suitable for the investment strategy and compliant and tax efficient.
Management of all company accounts across the Group, assisting in setting up a Group level budget and monitoring performance against the budget.
SPV management to ensure cash allocation for the entities is sufficient including budgeting for all funds and future expenses, ensuring cash requirements are sufficient.
Overseeing the finances of investment vehicles e.g. NAV oversight, cash management, invoice approval, budgeting and the audit processes.
Reviewing all drawdown and distribution calculations and notices prepared by the administrators
Attend relevant investment vehicle and management company board and committee meetings.
Reviewing tax structures for both funds and management company and liaising with tax advisors to ensure efficiencies are gained as well as review and monitoring of routine tax compliance work.
Working with the outsourced compliance company to ensure on-going compliance is maintained with all applicable regulators
Reviewing and implementing all internal compliance policies and monitoring their applicability on a periodic basis.
Qualified ACA, ACCA or CIMA or equivalent
Experience in private equity, credit or loans finance and operations
6 - 10 years financial services experience
Experience in new fund structuring
Experience with French Tax Regulations
Experience of service provider selection
Experience with legal and compliance oversight
Experience with investor interactions
Ability to prioritise, multi-task and work to tight deadlines.
An in-depth knowledge of finance, fund structures, products and instruments.