Fund Accountant

Vaco Recruiter Services

New York (NY)

Hybride

USD 69 000 - 76 000

Plein temps

Il y a 2 jours
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Avantages offerts par ce poste

Hybrid schedule

Résumé du poste

Fund Accountant – Temp-to-Hire in New York, NY (Midtown, hybrid). Compensation: $50–$55/hour. This role supports two investment funds and a related management company, taking ownership of fund operations, cash activity, reporting, and audit support.

Responsibilities include reviewing NAV packages, managing cash and wires, processing AP, and coordinating with external providers. Opportunity to convert to permanent in a lean environment.

Qualifications

  • 2–3 years of fund accounting, fund administration, family office, or related investment-accounting experience.
  • Strong Excel skills and clear communication.

Responsabilités

  • Review NAV packages and support quarterly fund reporting.
  • Manage cash activity including wire preparation and cash management.
  • Process and oversee accounts payable for the funds and management company.
  • Support budgeting, expense tracking, and management-company accounting.
  • Coordinate with fund administrators and external service providers.
  • Assist with year-end audit requests and schedules.

Connaissances

Attention to detail
Communication
Independence

Outils

Excel

Description du poste

Fund Accountant – Temp-to-Hire

Location: New York, NY (Midtown, hybrid)

Compensation: $50–$55/hour

Our client, a small and established investment office, is seeking a Fund Accountant to support the accounting and operations of two investment funds and a related management company.

This is a hands-on opportunity for an accounting professional who is comfortable working in a lean environment and taking ownership of key fund operations, cash activity, reporting, and audit support.

The funds invest primarily in other funds, creating a less transaction-intensive accounting environment than a traditional fund with extensive underlying security positions. This individual will work closely with internal stakeholders and external service providers while supporting quarterly reporting and year-end deliverables.

Responsibilities:
  • Review NAV packages and support quarterly fund reporting
  • Manage cash activity, including wire preparation, review, approval support, and cash management
  • Process and oversee accounts payable activity for the funds and management company
  • Support budgeting, expense tracking, and management-company accounting
  • Coordinate with fund administrators and other external service providers
  • Assist with year-end audit requests, schedules, and auditor coordination
  • Support K-1-related deliverables and investor reporting processes
  • Maintain strong internal controls around cash disbursements and fund operations
  • Help improve accounting and operational processes in a small, collaborative environment
Qualifications:
  • 2–3 years of fund accounting, fund administration, family office, or related investment-accounting experience
  • Exposure to NAV review, fund reporting, cash management, wires, and AP
  • Experience supporting audit and year-end processes; K-1 exposure is a plus
  • Strong attention to detail and ability to work independently in a lean, fast-moving environment
  • Strong Excel skills and clear communication skills
  • Local to the NYC area and able to be on-site in Midtown initially, with a hybrid schedule thereafter

This is a temporary opportunity with the potential to convert to a permanent position.

By submitting to this position, you are agreeing to be included in our talent pool for future hiring for similarly qualified positions.

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