CGP: Credit Fund Controller

Century Group

Los Angeles (CA)

On-site

USD 117,000 - 132,000

Full time

7 days ago
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Job summary

Century Group is seeking a Credit Fund Controller in Los Angeles. The role oversees fund and corporate accounting, financial closes, investor reporting, and complex investment structures.

Requires CPA certification and 15+ years of progressive accounting experience within private credit or related investment environments; heavy emphasis on audits, controls, and reporting to investors.

Qualifications

  • CPA certification required.
  • 15+ years progressive accounting experience, incl. private credit/specialty finance/real estate debt.
  • Experience managing month end, quarter end, year end close, financial reporting and audits.
  • Strong knowledge of fund accounting, investor reporting, and complex investment structures.

Responsibilities

  • Oversee fund and corporate accounting, including financial close, reconciliations, and financial statement prep.
  • Manage investor reporting, performance reporting, distributions, and other fund deliverables.
  • Monitor complex credit investment transactions, income recognition, financing arrangements, and portfolio activity.
  • Coordinate with external auditors, tax advisors, admins, and legal partners to support compliance and reporting.

Skills

Leadership
Analytical skills
Experience in private credit/real‑est/

Education

CPA Certification

Tools

ERP systems

Job description

Los Angeles, CA Contract To Hire Accounting Management $85/HR to $96/HR 08/11/2026

Century Group is partnering with a client that is seeking a Credit Fund Controller to join their team. Exact compensation may vary based on skills, experience, and location. Expected starting pay rate of $85.00 to $96.00 per hour.

Job Responsibilities:

Oversee fund and corporate accounting activities, including financial close processes, account reconciliations, and financial statement preparation.

Manage investor reporting, performance reporting, distribution calculations, and other fund related financial deliverables.

Monitor and account for complex credit investment transactions, income recognition, financing arrangements, and portfolio activity.

Coordinate with external auditors, tax advisors, administrators, and legal partners to support compliance and reporting requirements.

Lead system enhancements, process improvements, internal control development, and accounting infrastructure initiatives.

Requirements:

CPA certification is required.

15+ years of progressive accounting experience, including significant experience within private credit, specialty finance, real estate debt, or alternative investment environments.

Proven experience managing month end, quarter end, and year end close processes, financial reporting, and audit activities.

Strong understanding of fund accounting, investor reporting, financial statement preparation, and complex investment structures.

Previous experience working with accounting systems, loan servicing platforms, reporting tools, and ERP implementation projects.

Qualifications:

Extensive knowledge of credit related assets, lending structures, investment accounting, and portfolio reporting.

Strong leadership and communication skills with the ability to interact effectively with investors, executives, auditors, and external advisors.

Prior experience designing internal controls, enhancing reporting processes, and implementing workflow automation solutions.

Advanced analytical and problem solving abilities with a focus on accuracy, efficiency, and continuous improvement.

Self directed professional with an entrepreneurial mindset and the ability to lead complex accounting and reporting functions independently.


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