Global Investment Manager, London, flexible working options
Responsible for the valuation of “hard to value” investments held within client portfolios or proprietary holdings in accordance with applicable accounting and regulatory requirements and valuation guidelines.
Monitoring and updating valuations for relevant securities on a regular basis.
Reports into Head of Corporate Development. Valuations presented to and approved by a Valuation Committee
Managing relationships with third party valuation specialists. Developing valuation specialisms as required and managing relationships with Investment, Group Risk, Compliance etc.
Full or part qualified accountant/CFA charterholder.
Experience of the valuation of a range of investments in accordance with accounting and regulatory requirements, including private equity and complex fund structures
Deep knowledge of relevant International Financial Reporting Standards (IFRS)
Ability to develop valuation approaches and procedures and maintain an appropriate control framework