Fund Accountant (Private Equity)

LHH

Charlotte (NC)

Híbrido

USD 70.000 - 100.000

Jornada completa

14 días+
Generador de candidaturas

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Descripción de la vacante

LHH is seeking a Fund Accountant / Analyst for a growing private equity real estate investment client in Charlotte, NC. The role sits in a hybrid office (4 days in office, Fridays at home) and focuses on fund accounting, financial reporting, and investor reporting across investment entities.

The ideal candidate has a Bachelor's in Accounting or Finance and 3–6 years of accounting experience, with strong GAAP knowledge and Advanced Excel skills.

Formación

  • Bachelor's degree in Accounting or Finance is required.
  • Ideally 3-6 years of accounting experience.
  • Strong knowledge of GAAP and financial reporting.
  • Advanced Excel skills are preferred.

Responsabilidades

  • Support fund accounting and financial reporting for investment entities
  • Prepare account reconciliations and financial analyses
  • Assist with capital calls, distributions, and investor reporting
  • Help prepare financial statements and support audits
  • Partner with finance, operations, and investor relations teams
  • Identify opportunities to improve processes and reporting

Conocimientos

GAAP knowledge
Financial reporting

Educación

Bachelor's degree in Accounting or Finance

Herramientas

Excel

Descripción del empleo

A growing private equity real estate investment client is looking for a Fund Accountant / Analyst to join their Fund Finance accounting team. This is a great opportunity for someone with fund accounting, private equity, real estate, or public accounting experience who wants exposure to investment funds, financial reporting, and fund operations. Role will sit in their growing Charlotte, NC office.

About the Role

Fund Accountant (PE Real estate)

Charlotte, NC | Hybrid (4 days in office, Fridays home)

The Fund Accountant / Analyst will support fund accounting and financial reporting for investment entities, assist with capital activity and investor reporting, and partner with cross-functional teams while identifying opportunities to improve processes and reporting.

Responsibilities
  • Support fund accounting and financial reporting for investment entities
  • Prepare account reconciliations and financial analyses
  • Assist with capital calls, distributions, and investor reporting
  • Help prepare financial statements and support audits
  • Partner with finance, operations, and investor relations teams
  • Identify opportunities to improve processes and reporting
Qualifications
  • Bachelor's degree in Accounting or Finance
  • Ideally 3-6 years of accounting experience
Required Skills
  • Strong knowledge of GAAP and financial reporting
  • Advanced Excel skills
Preferred Skills
  • Fund accounting, private equity, real estate, or investment management experience preferred
  • Public accounting experience serving financial services clients is a plus
  • CPA or 'CPA candidate' preferred
  • Yardi experience is a plus
  • Real estate private equity fund experience
  • Private equity fund administration
  • Big 4 or regional public accounting firms with private equity or real estate clients
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