Mitsubishi UFJ Financial Group, Inc

Senior Associate Director, Private Equity Fund Accounting Solutions

Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Substantial experience in gathering and documenting business requirements in financial services or asset servicing.
  • 5+ years in alternative investment fund services, focusing on Private Equity or private markets.
  • Demonstrable knowledge in fund accounting and NAV processes.
  • Proficient in translating business requirements into solution intent and acceptance criteria.
  • Ability to create analytical artifacts including process models and use cases.
  • Strong analytical judgement to determine what information is essential for decision-making.
  • Credibility in communicating with both business and technical stakeholders.

Responsibilities

  • Act as subject-matter expert and analytical lead for NAV production applications across fund types.
  • Apply deep NAV production knowledge to shape solutions for delivery teams.
  • Conduct front-end analysis on feasibility and operating-model implications.
  • Collaborate with stakeholders to document business requirements and translate them into clear solutions.
  • Proactively source necessary information for analyses through direct data queries and AI tools.
  • Work with Solution Owners to shape intent and acceptance criteria for complex projects.
  • Identify and communicate risks that might impact delivery teams, including data gaps and operational readiness.

Benefits

  • Collaborative work environment across various teams and stakeholders.
  • Opportunity to shape solutions at the front-end of complex projects.
  • Engagement in a dynamic role with exposure to diverse fund types beyond private markets.
  • Significant growth opportunity in a company focused on building capabilities in private equity.
  • Involvement with the latest AI tooling and methodologies in the analysis process.
Full Job Description
Job Description

Owns the front-end analysis that turns an emerging business need into a clearly defined, well-understood piece of work - with the outcome, scope, and rationale established before delivery begins.

This is a Solution Analyst role within NAV production, bringing deep fund accounting and NAV knowledge into the front-end of complex work. The role covers NAV production across all fund types. We are particularly seeking candidates with strong private markets and private equity experience, as this is where we are currently building capability - but the role works across fund types, not private markets alone.

The role sits within the Tech Solutions organisation as a deployable analytical and subject-matter-expert resource. You will not be permanently embedded in any one project or squad, but be deployed more widely against the NAV production pipeline of complex work.

What you'll do
  • Act as the domain SME and analytical lead for applications supporting NAV production across fund types, with particular depth in private equity and private markets operating models.
  • Bring deep NAV production knowledge - across valuations, capital activity, waterfall and allocation mechanics - to the front-end shaping of solutions, so that the work handed to delivery teams reflects how NAV production actually operates and where it can be improved.
  • Conduct front-end analysis of complex work - feasibility, operating-model implications, data quality, and readiness - before a delivery team picks the work up.
  • Collaborate across stakeholder groups to define and document business requirements, translating current-state analysis, requirements, and gaps into a clear solution intent.
  • Go and get the information needed to do the analysis directly - querying data, reviewing system configuration and behaviour, and running analysis using AI tooling where it helps, rather than waiting for others to provide answers.
  • Work alongside Solution Owners at the front-end of complex work to shape intent and acceptance criteria for the parts of the work that carry the most complexity.
  • Represent technical limitations and implementation realities back to business stakeholders, and business intent back to engineers - translating in both directions.
  • Identify risks a delivery team would not otherwise see - data gaps, downstream impacts, operational-readiness concerns, and regulatory implications.
  • Partner with Integration Quality Engineers on cross-team and cross-solution test scenarios that no single team can cover.
  • Support adoption readiness where value realisation depends on more than the build - communications, training, data clean-up, and operational change - particularly where readiness work spans teams.
  • Recognise patterns across the business area - recurring themes, overlaps, and opportunities for reuse - feeding roadmap shaping.
  • Create and maintain supporting product documentation, including system overviews, functional narratives, and use cases.


Qualifications

You Have:
  • Substantial experience gathering, analysing, and documenting business requirements in a financial services or asset servicing environment.
  • 5+ years of working knowledge of alternative investment fund services, with a solid understanding of Private Equity or private markets structures, accounting, processes, and life cycles.
  • Demonstrable fund accounting and NAV knowledge.
  • Experience extracting business requirements using standard methodologies and translating them into clear solution intent and acceptance criteria.
  • Ability to model business processes and produce analytical artefacts - process models, use cases, procedural guides, and scenarios.
  • Strong analytical judgement - knowing what to look at, what to ignore, and when analysis is good enough to act on.
  • Credibility with both business and technical stakeholders, with the ability to hold a view under questioning.
  • Expert proficiency in Excel and Word.

Preferred
  • Strong, hands-on Investran expertise is highly valued and will distinguish leading candidates, given its central role in our current platform estate.
  • Experience with other private markets or fund accounting platforms - such as LemonEdge, Yardi, eFront, or Geneva - is also relevant and welcomed.
  • Deeper private markets / private equity domain knowledge - NAV oversight, capital calls and distributions, and waterfall calculations.
  • Exposure to AI-assisted analysis and discovery tooling.
  • Experience of platform implementation, configuration, or migration projects.


Additional Information

We thank all candidates for applying; however, only those proceeding to the interview stage will be contacted.

About Mitsubishi UFJ Financial Group, Inc

Mitsubishi UFJ Financial Group, Inc. (MUFG) is a Japanese financial services company headquartered in Tokyo, Japan. It is the holding company for the Mitsubishi UFJ Financial Group (MUFG), one of the largest financial groups in the world by assets. MUFG offers a wide range of financial services, including commercial banking, trust banking, securities, credit cards, consumer finance, asset management, and leasing. The company has a global presence, with operations in Asia, Europe, the Americas, and other regions. MUFG is committed to sustainability and social responsibility, and has implemented various initiatives to promote environmental protection, social welfare, and diversity and inclusion.
Learn more about Mitsubishi UFJ Financial Group, Inc
Size
135,049 employees
Market Cap
$85.1 billion
Industry
Net Income
$550.9 billion
5 Year Trend
-2.2%
NASDAQ

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