Assistant Controller (Investment Mgr)

Atlantic Group

New York (NY)

Hybrid

USD 130,000 - 160,000

Full time

36 hours ago
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Job summary

Atlantic Group in New York City seeks an Assistant Controller with 6+ years of fund accounting experience across hedge funds, private credit, PE, or fund administration. The role focuses on NAVs, allocations, audits, and process improvements in a hybrid NYC setting.

You will collaborate with fund admins, auditors, and internal teams to ensure accurate reporting and strong controls, contributing to a high‑performing investment operations team.

Qualifications

  • 6+ years of fund accounting, hedge funds, private credit, PE, or related fields.
  • Experience with NAV calculations and investor allocations.
  • Knowledge of waterfall calculations.
  • Background in hedge funds, private credit, PE, fund administration, or public accounting.

Responsibilities

  • Review fund accounting and portfolio records.
  • Calculate monthly NAVs and investor allocations.
  • Support audits and financial statement reviews.
  • Manage relationships with fund administrators, auditors, and internal stakeholders.
  • Improve fund accounting processes and controls.

Skills

NAV calculations
Investor allocations
Waterfall calculations
Fund accounting background
Hedge funds / private credit / PE

Job description

We're partnering on an exciting opportunity with a leading alternative investment manager overseeing $20B+ in credit-focused assets.

They're seeking an Assistant Controller with at least 6 years of experience in fund accounting, hedge funds, private credit, private equity, fund administration, or public accounting.

Key Qualifications:
  • Experience with NAV calculations and investor allocations
  • Understanding of waterfall calculations
  • Background in hedge funds, private credit, PE, fund administration, or public accounting
Responsibilities Include:
  • Reviewing fund accounting and portfolio records
  • Calculating monthly NAVs and investor allocations
  • Supporting audits and financial statement reviews
  • Managing relationships with fund administrators, auditors, and internal stakeholders
  • Improving fund accounting processes and controls

Location: New York City (Hybrid 3 days office / 2 days remote)

Compensation: $130K-$160K base + bonus (Total Comp up to $225K)

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