Fund Accountant (Credit)

in Accounting + Finance
  • New York City, New York View on Map
  • Salary: $100,000.00 - $125,000.00
Permanent

Job Detail

  • Experience Level Director
  • Degree Type Bachelor of Arts (BA)
  • Employment Full Time
  • Working Type Hybrid
  • Job Reference 0000018086
  • Salary Type Annually
  • Industry Hedge Fund
  • Selling Points

    Advance your career in fund accounting at a leading financial firm. Collaborate with a seasoned investment team in a hybrid work environment. Contribute to impactful credit-focused asset management strategies.

Job Description

Overview

  • Join a leading financial services firm specializing in credit-focused asset management strategies with a global institutional investor base.
  • Contribute to a dynamic team with over a decade of investment expertise in private and structured corporate credit.
  • Perform critical accounting functions, including reconciliation, NAV calculation, and financial statement preparation.
  • Collaborate with investment teams to coordinate deal funding and execution processes effectively.
  • Support regulatory reporting and compliance requirements, ensuring accuracy and timeliness.
  • Engage in portfolio valuation processes and provide analytical insights to the Valuation Committee.
  • Prepare detailed financial analyses and reports to support strategic decision-making.
  • Work in a hybrid environment, combining on-site collaboration with remote flexibility.

Key Responsibilities & Duties

  • Perform daily, monthly, and quarterly reconciliations between fund administrators, custodians, and prime brokers.
  • Review and prepare internal shadow accounting, including balance sheets, income statements, and NAV calculations.
  • Analyze and reconcile NAV packages, ensuring accuracy in management and performance fees.
  • Produce and review monthly portfolio analyses, exposure reports, and risk attribution analyses.
  • Support the preparation of annual U.S. GAAP financial statements and provide audit assistance.
  • Assist in regulatory reporting, including forms PF, ADV, and 13-F, ensuring compliance.
  • Coordinate deal funding and execution processes with the investment team.
  • Monitor and analyze management company income and expenses for operational efficiency.

Job Requirements

  • Bachelor of Arts (BA) degree in Accounting, Finance, or a related field.
  • Minimum of 2 years of experience in fund accounting, preferably in credit-focused asset management.
  • Proficiency in financial reporting, reconciliation processes, and regulatory compliance.
  • Strong analytical skills with the ability to produce detailed financial analyses and reports.
  • Experience with U.S. GAAP financial statement preparation and audit processes.
  • Knowledge of NAV calculations, management fees, and performance metrics.
  • Ability to work collaboratively in a hybrid environment with cross-functional teams.
  • Preferred certifications: CPA or CFA designation is advantageous.
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