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Job Description

Role Summary

  • Support fund accounting, financial reporting, investor reporting, and operational activities across private equity funds, co-investment vehicles, SPVs, GP entities, and management companies.
  • Perform accounting, reconciliations, capital activity processing, and quarter-end close within a complex alternative investment environment.
  • Partner with finance, fund administration, audit, tax, compliance, and investor relations teams to ensure accurate reporting and operational excellence.

Key Responsibilities

  • Prepare and post journal entries independently using supporting schedules, transaction documentation, and bank statements.
  • Perform bank reconciliations and investigate outstanding reconciling items.
  • Review and process fund and management company invoices and validate expense allocations.
  • Record accruals, prepaid amortization, management fees, and other period-end accounting adjustments.
  • Track and record capital calls, distributions, commitments, and investor transactions.
  • Support Investran reconciliations and maintain integrity between accounting and reporting systems.
  • Perform end-to-end quarter-end and year-end close activities.
  • Prepare financial statements and supporting schedules in accordance with reporting requirements.
  • Review financial statements for accuracy, tie-outs, cross-references, and presentation consistency.
  • Support preparation of investor reporting packages, capital account statements, and quarterly reporting deliverables.
  • Assist with regulatory, compliance, tax, and audit reporting requirements including standard reporting packages.
  • Manage investor queries, maintain reporting trackers, and support ad hoc accounting and operational project

Required Experience

  • 5+ years of experience in Private Equity Fund Accounting, Fund Administration, Fund Operations, or Alternative Investments.
  • Strong understanding of private equity fund structures, partnership accounting, capital activity, and investor allocations.
  • Proven experience preparing journal entries independently using supporting documentation and bank statements.
  • Strong understanding of end-to-end quarter-end close and financial statement preparation.
  • Experience with reconciliations, expense allocations, accruals, and general ledger accounting.
  • Exposure to investor reporting, fund reporting, and audit support activities.
  • Advanced Excel and strong analytical skills.
  • Excellent communication and stakeholder management capabilities.

Preferred Experience

  • Experience with Investran.
  • Exposure to flagship buyout funds, co-investment structures, SPVs, and management company accounting.
  • Experience supporting investor reporting and regulatory reporting requirements.
  • Experience working with fund administrators, auditors, tax advisors, and investor relations teams.
  • Exposure to process improvement and automation initiatives.

Why This Role

An opportunity to support a leading private markets platform while gaining exposure to complex fund structures, partnership accounting, financial reporting, investor servicing, fund operations, and large-scale private equity investment strategies.

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About Company

Job ID: 153811949

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