# Group Fund Controller — Bridge Holding

Canonical: https://jobxdubai.com/jobs/li-4473200199-group-fund-controller
Location: Doha, Qatar
Type: full_time · Level: lead
Monthly salary: AED 10,090 to 18,162 per month (estimated, not employer-stated) (UAE salaries are tax-free)
Posted: 2026-09-29
Apply: https://www.linkedin.com/jobs/view/group-fund-controller-at-bridge-holding-4473200199?_l=en

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## Description

The Role

Bridge Capital is hiring a Group Fund Controller to own fund accounting, NAV integrity, investor reporting and financial control across its funds, co-investment vehicles, SPVs and related entities. You will oversee third-party administrators and build a strong fund-finance control environment for a growing global alternative asset manager.

Key Responsibilities

• Own monthly, quarterly and annual fund accounting and reporting, in line with accounting standards and fund documents.

• Review and approve NAV calculations, reconciliations and investor allocations. Valuations remain subject to Valuation Committee approval.

• Oversee capital calls, distributions, waterfalls and carry, with proper approvals and dual authorization for cash movements.

• Ensure investor capital accounts, commitments and transfers are accurate and complete.

• Deliver fund financial statements, audits, tax schedules and regulatory filings with administrators, auditors, Legal and Compliance.

• Monitor liquidity, fees, expenses, FX exposure and subscription facilities, and forecast funding needs.

• Produce accurate investor reporting and performance metrics (IRR, MOIC, DPI, RVPI, TVPI), working with Investor Relations.

• Manage and challenge administrators, custodians, banks and other service providers.

• Support deals, refinancings and other investment events alongside Investment, Tax, Treasury and finance teams.

• Build scalable processes, systems and data standards, including responsible use of AI tools.

• Lead and develop a high-performing fund-control team.

Requirements

• 10+ years in fund accounting, fund control, private-equity finance or a similar environment, including managing outsourced providers and teams.

• Deep experience with closed-end funds, co-investments and SPVs, covering NAV, capital accounts, calls, distributions, waterfalls and carry.

• Strong knowledge of IFRS and/or US GAAP, partnership accounting, audit, tax coordination and fund documents.

• Excellent communication skills, with credibility in front of boards, investment committees and external counterparties.

• Bachelor's degree in accounting, finance or a related field; CPA or equivalent strongly preferred.

• Willingness to travel and, if needed, relocate to a Bridge office in the US or Middle East.

Preferred

• Background at a leading PE, infrastructure or real-assets platform, a global fund administrator or a Big Four asset-management practice.

• Experience overseeing administrators and implementing fund-finance systems.

• Cross-border experience; fluency in Arabic, Spanish, French or another relevant language is a plus.

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## Requirements

10+ years in fund accounting, fund control, private-equity finance or a similar environment, including managing outsourced providers and teams. Deep experience with closed-end funds, co-investments and SPVs, covering NAV, capital accounts, calls, distributions, waterfalls and carry. Strong knowledge of IFRS and/or US GAAP, partnership accounting, audit, tax coordination and fund documents. Excellent communication skills, with credibility in front of boards, investment committees and external counterparties. Bachelor's degree in accounting, finance or a related field; CPA or equivalent strongly preferred. Willingness to travel and, if needed, relocate to a Bridge office in the US or Middle East.

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