Lead impactful fund accounting operations at a top-tier accounting firm. Collaborate in a hybrid work environment, balancing remote and in-person interactions. Supervise and train staff, fostering professional growth and efficiency.
Fund Accounting Manager
in Accounting + Finance PermanentJob Detail
Job Description
Overview
- Lead fund accounting operations within a hybrid work environment, ensuring accurate financial reporting and compliance with industry standards.
- Collaborate with a top-tier accounting firm, contributing to its fund administration division's success.
- Supervise and train staff accountants, fostering professional growth and team efficiency.
- Engage in strategic planning and execution of financial processes for diverse fund structures.
- Utilize advanced accounting systems, including Investran, to streamline operations and reporting.
- Prepare comprehensive financial statements and disclosures for audit requirements.
- Coordinate with clients and outsourcing staff to ensure timely and accurate financial services.
- Contribute to a supportive and innovative work environment that integrates career and personal life.
Key Responsibilities & Duties
- Manage reporting activities for master-feeder fund structures, including daily, monthly, quarterly, and annual tasks.
- Prepare and execute wire and ACH transfers for payments and distributions.
- Set up calculation schedules for capital calls, distributions, and management fees.
- Review bank reconciliations and ensure accuracy in financial reporting.
- Prepare consolidated financial reports and NAV packages, ensuring equity adequacy.
- Oversee quarterly investor statements and allocation adequacy.
- Lead audit processes and assist with tax support and ad hoc projects.
- Supervise and train accounting staff, ensuring effective day-to-day operations.
- Collaborate with clients and teams to deliver accurate and timely financial services.
Job Requirements
- Bachelor’s degree in Accounting, Finance, or a related field.
- Minimum 8 years of experience in asset management or fund accounting.
- At least 2 years of experience leading teams and managing staff.
- Proficiency in managing master-feeder fund structures and investor reporting.
- Experience with waterfalls, performance fee calculations, and fund structures.
- Familiarity with Investran and investor portals.
- CPA certification is highly desirable.
- Flexibility to work in a hybrid environment, combining remote and in-person collaboration.
- Strong analytical and organizational skills to manage financial processes effectively.
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