Serve as a key liaison across a broad group of internal and external stakeholders, including global finance teams, tax, treasury, accounting policy, product and investor relations.
Lead fund accounting and administration activities, overseeing the monthly NAV process and reviewing complex activity such as subscriptions, redemptions, distributions, carried interest/promote and management fee calculations, NAV allocations, liquidity forecasting, and corporate G&A.
Provide technical accounting leadership, ensuring appropriate application and disclosure of accounting standards for complex transactions.
Manage, coach, and develop the team, with responsibility for effective workload allocation across EMEA and India.
Drive collaboration across global finance and key partner functions (e.g., Legal and Compliance, Tax, BX Technology) to establish best practices and scalable operating models.