
Bunch · Berlin
bunch is building the backbone of private markets. We are enabling next-gen fund operations with one integrated system that combines secure data infrastructure,...
bunch is building the backbone of private markets. We are enabling next-gen fund operations with one integrated system that
combines secure data infrastructure, AI-powered workflows and expert fund services. If you value ownership, growth through real
responsibility, and working with a thoughtful, ambitious team, this role might be for you.
We are building the next generation of fund services: technology-driven, automated and seamlessly integrated with product &
engineering. In close partnership with Moore TK, a leading advisor in tax and accounting for private capital clients, we combine
deep domain expertise with cutting-edge technology.
For our VC & PE clients, we deliver high-quality investor reporting and financials – fast, standardized, and audit-proof. We rely
on modern tools, clean data models and automation instead of Excel overload.We develop an integrated end-to-end operating model
(accounting, reporting, tax) – standardized, quality-assured and knowledge-driven – thereby creating a foundation for scalable,
future-proof fund services.
Your role
You will take responsibility for fund accounting and investor reporting for selected VC/PE funds - delivered on time, accurately,
and in full compliance with Invest Europe standards. You are more than just a numbers expert: you ensure transparency and trust
among fund managers, LPs, and investment teams, making the success of our funds visible.
With your eye for efficiency, you will actively drive the automation and digitization of our processes and work with us to shape
the next stage of development for our services. Quality, responsibility and progress are not buzzwords to you, they’re what truly
motivate you.
What You’ll Do
calculations. Ensuring compliance with the Invest Europe guidelines and handling ad-hoc enquiries.
timelines as well as risk-oriented reviews.
process.
calculations.
reporting.
About you
involving operations, accounting/reporting and tax is a plus.
advantageous.
management software is a plus.
Workplace & Benefits
market.
About bunch
bunch is building the operating infrastructure for the next generation of private markets. We combine AI-powered automation with
deep regulatory expertise to replace fragmented spreadsheets and manual processes with one integrated platform across the fund
lifecycle, purpose-built for private markets heading toward $32 trillion in Assets Under Management.
We've 4x our ARR in 2025, crossed 150 fund managers and 12,000 LPs on the platform, and just closed our $35M Series B in May 2026.
We're looking for ambitious people who want real ownership of hard problems, and who care about building infrastructure that
actually matters to the people using it.
At bunch, we're committed to an inclusive environment where diversity is valued and celebrated. We provide equal opportunities to
all qualified applicants.
We process personal data in line with applicable laws (including GDPR). See our Privacy Policy for details on your rights and how
to reach us.
Warum Moore TK? Gemeinsam mit unserem Partner bunch capital bauen wir die nächste Generation von Fund Services: Technologiegetrieben, automatisiert und eng verzahnt zu Produkt & Engineering. Für unsere VC- & PE-Mandate liefern wir Investor Reporting und Financials in hoher Qualität – schnell, standardisiert und auditfest. Dabei setzen wir auf moderne Tools, saubere Datenmodelle und Automatisierung statt Excel-Overflow. Wir entwickeln integriertes End-to-End-Operating-Model (Accounting, Reporting, Tax) – standardisiert, qualitätsgesichert und wissensgetrieben – und schaffen so ein Fundament für skalierbare, zukunftsfähige Fund Services. Deine Mission Bei uns übernimmst Du das Fund Accounting & Investor Reporting für ausgewählte VC-/PE-Fonds – termingerecht, präzise und Invest-Europe-konform. Dabei bist Du weit mehr als Zahlenverantwortliche*r: Du sorgst für Transparenz und Vertrauen bei Fund Managern, LPs und Investment-Teams und machst so den Erfolg unserer Fonds sichtbar. Mit Deinem Blick für Effizienz treibst Du die Automatisierung und Digitalisierung unserer Prozesse aktiv voran und gestaltest mit uns den nächsten Entwicklungsschritt unserer Services. Qualität, Verantwortung und Fortschritt sind dabei keine leeren Worte, sondern das, was Dich antreibt. Klingt nach Dir? Dann gestalte mit uns die Zukunft des Fund Accountings! DAS WIRST DU TUN * Investor Reporting | Erstellung präziser Investoren-Reports inkl. Performance-Kennzahlen (IRR, TVPI, DPI, RVP, etc.), NAV- und Carried-Interest-Berechnungen. Sicherstellung der Compliance mit den Invest Europe Guidelines und Bearbeitung von ad-hoc-Anfragen * Jahresabschluss & Audit | Verantwortung für Jahresabschlüsse inkl. Anhängen, enge Abstimmung mit Wirtschaftsprüfern, Kontrolle von Qualität und Terminen sowie risikoorientierte Reviews * Accounting & Quality Controls | Durchführung von Reviews der Accounting-Daten, Abstimmungen und Bewertungsprüfungen sowie kontinuierliche Optimierung unseres Qualitätssicherungsprozesses * Daten & Automatisierung | Zusammenarbeit mit Product- und Engineering-Teams, um unsere Prozesse fortlaufend weiter zu standardisieren und automatisieren * Advisory & Reviews | Unterstützung bei Portfolio-Bewertungen, Waterfall-Berechnungen sowie Review von Capital Calls, Distributions und Management Fee Kalkulationen * Stakeholder Management | Proaktive, verlässliche Kommunikation mit GPs, LPs und internen Teams (Operations, Tech) * Tax-Kooperation | Enge Abstimmung mit dem Tax-Team zu steuerlichen Fragestellungen und der Konsistenz zwischen Accounting, Steuer-Ledger und Investoren-Reporting DAS BRINGST DU MIT * Qualifikation | Abgeschlossenes Studium in Accounting, Finance oder Controlling (oder vergleichbar) und mindestens 5 Jahre relevante Erfahrung im Fund Accounting/Administration (Alternative Investments). Erfahrung in integrierten Setups aus Operations, Accounting/Reporting und Steuern ist ein Plus * Expertise | Fundierte Kenntnisse in HGB und IFRS; Erfahrungen mit internationalen Standards (z. B. Luxemburg, US, UK) sowie Audit-Erfahrung sind von Vorteil * Reporting & Standards | Praktische Erfahrung mit den Invest-Europe-Richtlinien und sicherer Umgang mit Reporting-Prozessen * Technik & Tools | Hohe IT-Affinität, Erfahrung mit Fund-Reporting-Software sowie sehr gute Excel-/Google-Sheets-Kenntnisse, Affinität zur Nutzung von Projektmanagementsoftware ist ein Plus * Arbeitsweise & Persönlichkeit | Analytisch, detailorientiert, dynamisch, terminsicher und bereit, stetig dazuzulernen * Sprachen | Sehr gute Englischkenntnisse in Wort und Schrift; Deutschkenntnisse sind von Vorteil Nicht alle Punkte passen perfekt zu deinem Profil? Kein Problem - bewirb dich trotzdem gerne. Wir freuen uns darauf, dich kennenzulernen. WAS WIR DIR ANBIETEN * Impact & Modern Stack | Arbeit an einem skalierbaren Fund-Admin-Ansatz mit qualitativ hochwertigem Service. Sichtbarer Beitrag entlang der gesamten Value Chain und nicht nur „Report Assembly“ * Top-Kunden | Erstklassige VC-/PE-Kundenportfolios und eine partnerschaftliche Zusammenarbeit * Zeit für Qualität | Realistische Kundenanzahl, Templates, Reviewer-Modelle, QA-Checklisten. Risiko-basierte Sampling-Reviews und definierte QA-Gates * Weiterbildung | Entwicklung zum Subject Matter Expert nach Interesse (Bewertung, IFRS, Crypto, Fund-of-Funds etc.), Unterstützungen bei Zertifizierungen, Tech-Trainings * Moore Global | Spannender und vielfältiger Tätigkeitsbereich mit einem breiten Spektrum nationaler sowie internationaler Mandanten und Partnerunternehmen * Corporate Benefits | Bekomme exklusive Rabatte bei namhaften Partnerunternehmen in den Kategorien Sportbekleidung, Technik, DSL- und Mobilfunk, Indoor, Reisen und vielem mehr * Dein Job-Rad | Nutze unser Fahrrad-Leasing-Programm für noch mehr Mobilität und einem nachhaltigen Arbeitsweg * Bleib gesund | Profitiere von einer von uns extra für Dich abgeschlossenen privaten Zusatzversicherung KONTAKTINFORMATIONEN Bereit für den nächsten Schritt? Dann sende uns deinen Lebenslauf inklusive frühestmöglichem Startdatum über das untenstehende Formular oder einfach per E-Mail an bewerbung@moore-tk.de. Kristina Widmann Julia Poljakow HR Managerin HR Specialist
bunch is building the backbone of private markets. We are enabling next-gen fund operations with one integrated system that combines secure data infrastructure, AI-powered workflows and expert fund services. If you value ownership, growth through real responsibility, and working with a thoughtful, ambitious team, this role might be for you. As we scale following our Series B, we are looking for a Senior Fund Operations Manager to play a key role in delivering exceptional fund operations and service quality to our customers. This is not a traditional fund administration role focused on repetitive processing. We are looking for operators who deeply understand private markets operations, enjoy solving complexity, and want to help shape how modern fund administration should work. You will work at the intersection of fund operations, client service, and product development - partnering closely with fund managers, investors, product teams, and internal operations functions to deliver a seamless experience across the full fund lifecycle. We are particularly looking for strong expertise in fund administration, transfer agency operations, fund onboarding, and complex post-close operational processes. YOUR ROLE * Act as a strategic operational partner to fund managers, supporting them across the day-to-day operations of their funds and delivering an exceptional customer experience. * Own and coordinate complex post-close operational processes, including capital calls, distributions, investor reporting cycles, and ongoing fund lifecycle events. * Lead operational execution for fund migrations and new fund launches, including the review, reconciliation, and migration of historical data from previous administrators. * Own capital call and distribution calculations end-to-end using our automated operational workflows, including the interpretation of LPA clauses, management fee calculations, equalisation mechanics, liquidity buffer assessments, and investor allocation logic. * Partner directly with fund managers to explain methodologies, align on assumptions and outputs, incorporate feedback where appropriate, and guide clients towards operationally and legally sound approaches based on fund documentation. * Partner with Fund Accounting to support recurring reporting cycles and ensure operational and financial data is complete, accurate, and audit-ready. * Support treasury-related workflows, including payment coordination, invoice handling, and operational cash movement processes. * Act as a key point of contact for fund managers and investors, helping resolve operational queries with a high level of responsiveness and ownership. * Collaborate closely with Product and Engineering teams to shape and improve our internal platform and operational tooling based on real customer workflows and operational pain points. * Help drive the evolution of our “full back-office” operating model by identifying opportunities for automation, AI adoption, and scalable operational design. * Support, review, and mentor more junior team members, helping establish high standards for quality, operational rigour, and client service. * Improve processes, workflows, and documentation across the organisation to increase scalability, transparency, and operational excellence. ABOUT YOU * You bring 3+ years of experience in fund administration, fund operations, transfer agency, or related private markets operations environments. * You have strong hands-on experience managing operational fund workflows across the full lifecycle, particularly capital activity, reporting processes, and complex operational coordination. * You understand private markets fund structures and are comfortable reviewing LPAs, investment agreements, and related fund documentation to identify operationally relevant terms and requirements. * You are highly detail-oriented and able to manage complex operational processes with accuracy and ownership under tight timelines. * You are comfortable working cross-functionally with other Fund Accounting, Product, and client-facing teams. * You bring a strong service mindset and understand how operational quality directly impacts customer trust and long-term relationships. * You enjoy improving systems and processes and are excited by the opportunity to help modernise fund administration through technology and AI. * You are proactive, structured, and comfortable operating in a fast-moving, high-growth environment. * You enjoy mentoring others and raising the operational quality bar across a team. * You are fluent in English; German is a plus. WORKPLACE & BENEFITS * Competitive salary * Customizable benefits package (wellbeing, sport, mobility, food, and more) * 28 days of vacation, plus 2 company days and local public holidays * Remote-flexible hybrid (3 days/week in office) * Up to 4 remote calendar weeks a year * Work with a diverse team of 120+ bunchies from 40+ countries, with leaders who are best-in-class in their domains HIRING PROCESS 1. People Team Interview (30 min) – Meet us & check initial fit 2. Hiring Manager Interview (45 min) – Collaboration, ownership, and culture 3. Case interview (45 min) + VP of Operations screen (30 min) – Collaborative problem-solving and communication skills 4. Final Round (60 min) – Meet our Founders and senior stakeholders 5. Reference calls to confirm your relationship building abilities About bunch bunch is building the operating infrastructure for the next generation of private markets. We combine AI-powered automation with deep regulatory expertise to replace fragmented spreadsheets and manual processes with one integrated platform across the fund lifecycle, purpose-built for private markets heading toward $32 trillion in Assets Under Management. We've 4x our ARR in 2025, crossed 150 fund managers and 12,000 LPs on the platform, and just closed our $35M Series B in May 2026. We're looking for ambitious people who want real ownership of hard problems, and who care about building infrastructure that actually matters to the people using it. ____ At bunch, we're committed to an inclusive environment where diversity is valued and celebrated. We provide equal opportunities to all qualified applicants. We process personal data in line with applicable laws (including GDPR). See our Privacy Policy for details on your rights and how to reach us.
bunch is building the backbone of private markets. We are enabling next-gen fund operations with one integrated system that combines secure data infrastructure, AI-powered workflows and expert fund services. If you value ownership, growth through real responsibility, and working with a thoughtful, ambitious team, this role might be for you. We’re looking for an experienced Senior or Staff-level Product Manager to join our Accounting & Ledger team. If you thrive in a fast-paced environment, have a strong background in fintech, accounting, or fund operations, and are passionate about building the systems of record that power financial accuracy, compliance, and investor trust — this role is for you. YOUR ROLE As the Product Manager for Accounting & Ledger, you will own the products and workflows that form the financial system of record for funds on bunch — the general ledger, chart of accounts, journals, trial balances, valuations, and the automated close. You’ll build the engine that turns raw transactions and fund activity into a clean, auditable, real-time ledger — the foundation that fund performance and investor reporting are built on. This is a mission-critical position at the heart of how fund managers run their books. Your work will power the fund’s financial truth, support CFOs and Fund Controllers in closing faster and with confidence, and ensure every number downstream — from NAV to investor statements — is accurate and traceable back to source. You’ll collaborate closely with engineering, design, and operations to bring structure and precision to a complex domain, and deliver products that set a new standard for fund accounting infrastructure. TOP RESPONSIBILITIES * Define and drive the roadmap for the ledger and accounting platform, including chart of accounts, journals, trial balances, and period close workflows. * Own the General Ledger Engine – a multi-entity, multi-currency ledger that reflects the real structure of fund vehicles, SPVs, and holdings. * Lead development of automated transaction ingestion and journal-entry workflows, including integrations with external systems (e.g. DATEV, SaltEdge, Konfipay) and banking/custodian feeds. * Partner with engineering to design valuation logic and the data foundations that feed NAV and fund performance calculations. * Translate complex accounting and fund finance requirements into clear product logic, automation, and audit trails. * Collaborate with internal operations, CFOs, and fund controllers to optimise close workflows, reconciliation, and data accuracy. * Ensure end-to-end data integrity, from transaction ingestion through the ledger to downstream reporting and performance outputs. * Partner closely with the Reporting & Fund Performance teams to ensure ledger data feeds cleanly into investor reports and performance metrics. * Define and track success metrics across adoption, data accuracy, and close-cycle efficiency. * Stay ahead of emerging best practices in fund accounting, ledger technology, and regulatory requirements. ABOUT YOU * Hands-on experience building or extensively working on ledger or accounting systems is required — ideally you have shipped a general ledger, either from scratch or as a core rebuild, not just integrated with one. You will be building bunch’s internal ledger from the ground up. * Deep working knowledge of double-entry accounting, chart of accounts design, journal posting logic, and financial close processes. * 7+ years of product management experience, in fintech, accounting/ledger, or financial data systems. * Proven ability to manage mission-critical, data-heavy product areas with strict accuracy and compliance requirements. * Experience with accounting systems, general ledgers, chart of accounts design, or financial close workflows is a must advantageous. * Ability to translate financial and accounting complexity into intuitive software products. * Excellent communication and stakeholder management skills — able to collaborate with both technical and non-technical audiences. * Analytical and data-driven mindset, with an obsession for precision and traceability. * Strategic thinker with an entrepreneurial drive and comfort with ambiguity. * Experience in fast-growing or startup environments where systems and processes evolve quickly. WORKPLACE & BENEFITS * Competitive salary * Customizable benefits package * 28 days of vacation, plus 2 company days and local public holidays * Remote-flexible hybrid (3 days/week in office) or fully remote depending on location * Up to 4 remote calendar weeks a year * A great tech and work setup * Work with a diverse team of 120+ bunchies from 40+ countries, with leaders who are best-in-class in their domains WHAT YOUR INTERVIEW JOURNEY WILL LOOK LIKE * First interview – People team (30 min): Get acquainted with bunch and explore alignment on your goals and ours. * Deep-dive interview – VP of Product (60 min): Discuss the role, your experience, and how you approach building complex, high-impact systems. * Case interview – Product Team (60 min): Showcase your product thinking, communication style, and problem-solving approach. * Team Fit Panel (2 x 30 min) – Key Stakeholders (Operations, Engineering Lead): Align on vision, values, and impact. * Coffee Chat – Founder (30 min): Meet with one of bunch’s Co-Founders. About bunch bunch is building the operating infrastructure for the next generation of private markets. We combine AI-powered automation with deep regulatory expertise to replace fragmented spreadsheets and manual processes with one integrated platform across the fund lifecycle, purpose-built for private markets heading toward $32 trillion in Assets Under Management. We've 4x our ARR in 2025, crossed 150 fund managers and 12,000 LPs on the platform, and just closed our $35M Series B in May 2026. We're looking for ambitious people who want real ownership of hard problems, and who care about building infrastructure that actually matters to the people using it. ____ At bunch, we're committed to an inclusive environment where diversity is valued and celebrated. We provide equal opportunities to all qualified applicants. We process personal data in line with applicable laws (including GDPR). See our Privacy Policy for details on your rights and how to reach us.