Contribute to a growing private equity fund with impactful investment strategies. Enhance your expertise in asset diligence and portfolio oversight. Collaborate with industry leaders in a dynamic environment.
Fund Accountant
in Accounting + Finance PermanentJob Detail
Job Description
Overview
- Manage asset diligence and portfolio oversight for a growing private equity fund.
- Collaborate with cross-functional teams to ensure investment success and compliance.
- Develop and maintain performance tracking systems and key performance indicators.
- Participate in transaction closing processes and valuation reviews.
- Contribute to operational enhancements and strategic initiatives for portfolio companies.
- Support financial and operational due diligence on potential investments.
- Leverage industry trends to identify opportunities for improvement.
- Work closely with external advisors and internal stakeholders.
Key Responsibilities & Duties
- Conduct financial and operational due diligence for investment opportunities.
- Develop and track key performance indicators for portfolio companies.
- Analyze portfolio company performance against business plans and underwriting assumptions.
- Review financial statements and board reports for insights.
- Assist in valuation processes in compliance with accounting standards.
- Coordinate with external valuation firms and auditors for validation.
- Support transaction closing processes and documentation reviews.
- Identify operational enhancement opportunities for portfolio companies.
Job Requirements
- Bachelor of Science (BS) degree in finance, accounting, or related field.
- 4-7+ years of experience in finance, audit, consulting, or private equity diligence.
- Strong financial analysis and valuation skills.
- Proven ability to develop and track KPIs and dashboards.
- Experience with due diligence, transaction closings, and valuations.
- Excellent communication and problem-solving skills.
- Ability to collaborate with cross-functional teams and external advisors.
- Knowledge of fair value accounting standards (ASC 820, IFRS 13).
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