
The Fund Controller at Standish works with other team members to lead the financial reporting and administration operations of our clients. In conjunction with the Engagement Manager, the Fund Controller is responsible for fund accounting, capital account maintenance and financial statement preparation for clients.
*Actual compensation will be dependent upon the individual's skills, experience and qualifications.

Standish provides fund administration services for general partners and managers of private equity funds, specializing in buyout, VC, real estate & fund of funds.
Standish supports established GPs by providing admin & tech to whole fund families or select funds, helping to scale operations rapidly and efficiently. Standish also provides consulting services to new GPs, accelerating the launch of their funds.
Growing steadily since 2007, Standish has 19 offices worldwide, more than 4000 entities under administration, and approximately $650B in AUM.