Fund Controller

Atlantic Group

New York (NY)

Hybrid

USD 200,000 - 250,000

Full time

14 days+

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Job summary

Atlantic Group in New York is seeking a Fund Controller to lead fund accounting, capital planning and financial operations across a diversified private investment platform. You will partner with investment, legal, finance, tax, and operations teams to oversee fund accounting, valuation oversight, and strategic initiatives.

The ideal candidate has 10–15 years of private equity fund accounting experience, CPA required, CFA preferred, and strong Excel plus familiarity with fund accounting systems

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field required.
  • CPA designation required; CFA designation preferred.
  • 10–15 years of experience in fund accounting/financing or financial reporting in private equity or asset management.
  • Experience with carried interest programs and ASC 820 fair value reporting preferred.

Responsibilities

  • Oversee fund accounting and financial operations for investment funds and related entities.
  • Manage capital activity, cash flows, distributions and other fund finance tasks.
  • Support valuation processes and timely financial statements and investor reporting.
  • Partner with finance, legal, operations and external service providers for audits and tax reporting.
  • Identify opportunities to improve processes, controls and efficiency through tech solutions.

Skills

Leadership
Analytical
Project management
Cross-functional collaboration
Detail-oriented

Education

Bachelor's degree in Accounting or Finance

Tools

Advanced Excel
Fund accounting systems
Data warehouse / BI tools

Job description

Job Overview – Fund Controller

Compensation: $200,000 – $250,000/year + bonus

Location: New York, NY

Schedule: Monday to Friday (Hybrid)

Atlantic Group is hiring a Fund Controller for our client, supporting fund finance, general partner accounting, and financial operations across a diversified private investment platform. This highly visible leadership role partners with investment, legal, finance, tax, and operations teams to oversee fund accounting, capital planning, valuation oversight, and strategic operational initiatives. The ideal candidate brings deep private equity fund accounting expertise, strong technical accounting knowledge, and experience managing complex fund structures within an institutional investment environment.

Responsibilities as the Fund Controller:
  • Fund Accounting & Finance: Oversee the accounting and financial operations of investment funds and related entities while ensuring accurate financial reporting and regulatory compliance.
  • Cash Management: Manage capital activity, cash flows, distributions, and other fund finance activities to support investment operations.
  • Financial Reporting: Support valuation processes, review financial reporting, and ensure the timely preparation of financial statements and investor reporting.
  • Cross-Functional Collaboration: Partner with finance, legal, operations, and external service providers to support fund administration, audits, tax reporting, and ongoing business initiatives.
  • Process Improvement: Identify opportunities to improve financial processes, reporting, internal controls, and operational efficiency through process enhancements and technology solutions.
Qualifications for the Fund Controller:
  • Education: Bachelor's degree in Accounting, Finance, or a related field is required.
  • Certification: CPA designation is required. CFA designation is preferred.
  • Experience: 10–15 years of experience in fund accounting, fund finance, or financial reporting within private equity, closed-end funds, or alternative asset management is required.
  • Industry Knowledge: Experience supporting general partner accounting, private equity fund structures, capital activity, and investment operations is required. Experience with carried interest programs and ASC 820 fair value reporting is preferred.
  • Technical Skills: Advanced Microsoft Excel skills are required. Experience with fund accounting systems, data warehouse platforms, business intelligence tools, and financial reporting technologies is preferred.
  • Skills & Attributes: Strong leadership, analytical, and project management skills with exceptional attention to detail, the ability to manage multiple priorities, collaborate across cross-functional teams, oversee complex operational processes, and drive continuous process improvement within a fast-paced investment management environment.
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