Lead impactful fund accounting operations for private credit portfolios. Collaborate with industry experts to ensure regulatory compliance and accuracy. Drive process improvements in a dynamic, fast-paced environment.
Fund Accounting Manager (Credit)
in Accounting + Finance PermanentJob Detail
Job Description
Fund Accounting Manager (Credit) Overview
- The Fund Accounting Manager (Credit) will oversee fund accounting operations for Business Development Companies (BDCs).
- Lead financial reporting, portfolio valuation, and compliance processes for private credit vehicles.
- Collaborate with fund administrators, auditors, and investor relations to ensure accuracy and timeliness.
- Provide technical expertise on BDC-specific accounting and regulatory requirements.
- Manage a team of fund accountants and analysts, fostering professional growth and development.
- Identify and implement process improvements to enhance operational efficiency and scalability.
- Stay updated on US GAAP standards and regulatory changes impacting private credit vehicles.
- Ideal for professionals seeking ownership in a dynamic private credit environment.
Fund Accounting Manager (Credit) Key Responsibilities & Duties
- Oversee daily fund accounting operations for BDC portfolios, including credit instruments.
- Manage NAV calculation processes, ensuring accuracy and timeliness during close cycles.
- Support portfolio valuation processes with valuation committees and investment teams.
- Ensure compliance with the Investment Company Act of 1940 and related regulations.
- Prepare and review financial statements, investor reports, and regulatory filings.
- Lead relationships with fund administrators, auditors, custodians, and tax advisors.
- Mentor and develop a team of fund accountants and analysts.
- Oversee credit facility compliance, covenant monitoring, and borrowing base calculations.
- Identify and implement process improvements for enhanced accuracy and scalability.
Fund Accounting Manager (Credit) Job Requirements
- Bachelor's degree in Accounting, Finance, or a related field.
- Minimum of 6 years of fund accounting experience, with exposure to BDCs or private credit vehicles.
- Strong knowledge of the Investment Company Act of 1940 and BDC-specific regulations.
- Experience in NAV oversight, portfolio valuation, and credit facility compliance.
- Proven people management skills, with experience leading teams.
- Solid understanding of US GAAP standards for investment companies and credit funds.
- Proficiency in collaborating with fund administrators and external auditors.
- Ability to identify and implement process improvements effectively.
- Strong analytical and communication skills to manage complex operations.
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