Fund Accounting Manager

in Accounting + Finance
  • Chicago, Illinois View on Map
  • Salary: $150,000.00 - $175,000.00
Permanent

Job Detail

  • Experience Level Manager
  • Degree Type Bachelor of Science (BS)
  • Employment Full Time
  • Working Type Hybrid
  • Job Reference 0000016384
  • Salary Type Annually
  • Industry Private Equity
  • Selling Points

    Advance your career managing fund accounting operations in a hybrid environment. Collaborate with experts to enhance reporting processes and compliance. Enjoy professional growth in a dynamic, rewarding role.

Job Description

Overview

  • Manage fund accounting operations, ensuring compliance, accuracy, and efficiency in financial reporting for equity funds.
  • Collaborate with a skilled team in a hybrid work environment to drive operational excellence.
  • Utilize advanced accounting software to streamline processes and enhance data management capabilities.
  • Support audits and regulatory adherence, ensuring compliance with industry standards and best practices.
  • Prepare and review detailed financial statements, including partner capital accounting and footnotes.
  • Contribute to process improvement initiatives, optimizing reporting workflows and operational efficiency.
  • Engage in professional development opportunities to stay ahead in fund accounting practices.
  • Foster a collaborative environment, mentoring team members and sharing expertise.

Key Responsibilities & Duties

  • Interpret fund agreements to establish financial reporting and partner capital accounting requirements.
  • Prepare and review journal entries, financial statements, and capital account statements using specialized software.
  • Conduct complex calculations, including hypothetical waterfalls, to ensure precise income allocation.
  • Draft and review comprehensive footnotes for financial statements, detailing business arrangements.
  • Calculate and oversee capital calls, distributions, and management fee processes.
  • Identify and implement solutions to enhance reporting efficiency and effectiveness.
  • Respond to investor servicing requests, ensuring exceptional support and communication.
  • Manage financial audits, ensuring compliance with industry standards and regulatory requirements.

Job Requirements

  • Bachelor’s degree in Accounting or Finance; CPA certification or progress towards preferred.
  • Minimum of five years of progressive experience, with audit exposure in financial services.
  • Proficiency in private equity partnership accounting, including carried interest and allocations.
  • Strong skills in MS Excel and MS Word; ability to adapt to new software applications.
  • Detail-oriented with a focus on producing high-quality and accurate work products.
  • Self-driven, proactive, and adept at prioritizing tasks to meet deadlines effectively.
  • Experience with fund accounting software, particularly Investran, is highly desirable.
  • Commitment to professional growth within a collaborative and dynamic team environment.
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