Drive impactful fund accounting operations in a hybrid work environment. Collaborate with experts to ensure compliance and accurate reporting. Enhance efficiency through innovative technology and process improvements. Shape financial strategies in a dynamic industry.
Fund Accounting Manager
in Accounting + Finance PermanentJob Detail
Job Description
Overview
- Lead fund accounting operations for diverse financial structures in a dynamic, hybrid work environment.
- Ensure accuracy and integrity in financial data, including portfolio reviews and valuations.
- Collaborate with auditors and third-party providers to ensure seamless reporting and compliance.
- Contribute to regulatory filings, including SEC forms and investor documentation.
- Implement and maintain robust internal controls to meet regulatory standards and enhance processes.
- Support technology-driven solutions for efficient fund management and reporting.
- Drive process improvements to enhance operational efficiency and accuracy.
- Develop expertise in complex fund structures and contribute to organizational success.
Key Responsibilities & Duties
- Review monthly NAV packages prepared by third-party administrators for accuracy and completeness.
- Reconcile cash, positions, and activity between administrators and custodians.
- Validate portfolio valuations against data from general partners and advisors.
- Calculate and verify management and incentive fees for funds.
- Prepare and review financial statements for regulatory filings and investor reporting.
- Manage annual audit processes and liaise effectively with external auditors.
- Oversee tax deliverables, including investor K-1s and related documentation.
- Develop and maintain compliance reports for fund servicing models.
- Identify and implement process improvements for operational efficiency and accuracy.
Job Requirements
- Bachelor’s degree in accounting, finance, or a related field.
- Minimum of 5 years of experience in fund accounting or financial management.
- Preferred 7 years of experience in fund accounting or related roles.
- Proficiency in SEC reporting, including Forms 10-Q, 10-K, and 8-K.
- Experience with internal controls and regulatory compliance standards.
- Strong analytical skills and attention to detail for financial data reviews.
- Ability to collaborate with external auditors and third-party providers effectively.
- Knowledge of fund structures and valuation methodologies.
- Familiarity with technology-driven solutions for fund management and reporting.
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