Fund Accounting Associate

Atlas Search

Miami (FL)

On-site

USD 60,000 - 80,000

Full time

14 days+

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Job summary

A leading global investment manager is seeking a Fund Accounting Associate to join their finance team in Miami, Florida. In this role, you will be tasked with reviewing fund NAVs, preparing capital calls, and monitoring portfolio investments. The ideal candidate will have over 3 years of experience in fund accounting or a related field, with strong Excel and analytical skills. A background in private equity or hedge funds is preferred. This position offers an excellent opportunity for professional growth and exposure to various investment strategies.

Qualifications

  • 3+ years of experience in fund accounting, audit, or fund administration.
  • Understanding of investment fund structures and reporting.
  • Background in private equity, hedge funds, or public accounting preferred.

Responsibilities

  • Review daily and monthly fund NAVs (estimates and finals).
  • Prepare and review capital calls and distribution allocations.
  • Track investment cost and monitor fair value of portfolio investments.
  • Support quarterly NAV and portfolio reconciliation processes.
  • Calculate management fees, waterfalls, IRR, and other fund metrics.
  • Assist with fund forecasts and performance analysis.

Skills

Fund accounting experience
Strong Excel skills
Analytical skills
Team-oriented
Communication skills

Education

CPA (preferred)

Job description

A leading global investment manager is looking to add a Fund Accounting Associate to its growing finance team, supporting continued expansion across multiple investment strategies.

What you’ll be doing:
  • Review daily and monthly fund NAVs (estimates and finals)
  • Prepare and review capital calls and distribution allocations
  • Track investment cost and monitor fair value of portfolio investments
  • Support quarterly NAV and portfolio reconciliation processes, including investigating discrepancies
  • Calculate management fees, waterfalls, IRR, and other fund metrics
  • Assist with fund forecasts, performance analysis, and ad hoc projects
  • Review investor reporting and internal financial reporting
  • Partner with external auditors during year-end audits
  • Oversee and review work completed by offshore teams
What they’re looking for:
  • 3+ years of experience in fund accounting, audit, or fund administration
  • Background in private equity, hedge funds, or public accounting preferred
  • Understanding of investment fund structures and reporting
  • CPA is a plus
  • Strong Excel and analytical skills
  • Ability to manage multiple priorities in a fast-paced environment
  • Team-oriented with strong communication skills
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