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Fund Finance Associate

My client, a respected asset management firm, is looking for a Fund Finance Associate. Our client is based out of New York City and offers a hybrid schedule.

Key Responsibilities

  • Prepare quarterly NAVs and capital account statements

  • Manage capital calls, distributions, fees, and expense allocations

  • Support waterfall and carried interest calculations

  • Maintain fund accounting records and quarter-end / year-end close

  • Liaise with administrators, auditors, and internal teams

  • Ensure compliance with fund documentation and controls

  • Maintain accurate fund accounting records, including journals and reconciliations

Qualifications

  • Bachelor’s degree or higher in Accounting or Finance

  • Strong knowledge of accounting principles, fund accounting, and financial reporting

  • 4-7 years of accounting or finance experience; CPA preferred
  • High attention to detail with the ability to meet tight reporting deadlines

  • Strong Excel skills

For more information, please apply or reach out to [email protected] directly.