Fund Controlling, Senior Associate

Capital Integration Systems

New York (NY)

Hybrid

USD 122,000 - 149,000

Full time

5 hours ago
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Benefits offered by this job

Health insurance
Retirement plan
Wellness programs
PTO & parental leave
Hybrid in-office model

Job summary

CAIS, a leader in alternative investments education and access, seeks a Senior Associate for the Fund Controlling team. The role focuses on overseeing NAV production, coordinating fund audits, and supporting broader accounting and operational needs of the funds.

Strong audit and fund accounting experience, plus proficiency with AI tools to improve processes, are preferred. The position offers a hybrid work model in New York and is eligible for a performance bonus and comprehensive benefits.

Qualifications

  • Bachelor’s degree in accounting, finance, economics; CPA or progress toward CPA is a plus.
  • 4–6 years of experience in public accounting, fund administration, or fund accounting with fund audits.
  • Strong knowledge of financial statements, US GAAP, NAV calculations, and fund structures.
  • Experience coordinating audit deliverables and working with auditors, administrators, tax providers, and internal stakeholders.

Responsibilities

  • Oversee monthly hedge fund and quarterly private equity fund NAV production by third-party Administrators; review NAVs.
  • Coordinate annual fund audits from planning through completion; manage timelines and respond to requests.
  • Review financial statements, audit workpapers, NAV files, and supporting accounting records for accuracy.
  • Liaise with auditors, administrators, tax providers, valuation specialists, and internal stakeholders to ensure timely NAV, audit, and tax deliverables.
  • Support tax filings, investor reporting, capital calls, distributions, cash management, reconciliations, and expenses.
  • Evaluate accounting and operational implications of fund terms, investments, valuations, facilities, and activity.
  • Strengthen controls, documentation, and reporting; use AI to streamline audit prep and fund accounting processes.
  • Support additional fund accounting, operational, and strategic projects.

Skills

AI tools
Automation
Excel
Attention to detail

Education

Bachelor’s degree in accounting, finance, economics
CPA or progress toward CPA

Job description

CAIS is the pioneer in democratizing access to and education about alternative investments for independent financial advisors, empowering them to engage and transact with leading asset managers at scale through a wide variety of alternative investment products and technology solutions. CAIS provides access to alternative investment strategies including hedge funds, private equity, private credit, real estate, digital assets, and structured notes. CAIS serves over 2,500 wealth management firms that support more than 65,000 financial advisors who oversee approximately $8.5 trillion in end-client assets.

CAIS is seeking aSeniorAssociateto join the FundControllingteam within Fund Management. This role will primarily focus onoverseeing fundNAVproductionand related financial reporting activities while alsomanaging fund auditsandsupporting the broader accounting and operational needs of the funds. The ideal candidate has strong alternative investment audit or fund accounting experience, can work independently across multiple stakeholders, and is proficient in using AI and automation tools to improve processes and controls.

Responsibilities

  • Oversee the monthly hedge fund and quarterly private equity fund NAV production process performed by third-party fund administrators, including review and validation of administrator-delivered NAVs.
  • Coordinate annual fund audits from planning through completion, including managing timelines, preparing supporting documentation, responding to audit requests, and resolving open items.
  • Review financial statements, audit workpapers, NAV files, andsupportingaccounting records for accuracy and consistency with fund governing documents.
  • Liaise with auditors, third-party administrators, tax providers, valuation specialists, and internal stakeholders to ensuretimelycompletion ofNAV,auditandtaxreporting deliverables.
  • Support tax filings, investor reporting, capital calls, distributions, cash management, reconciliations, accounts payable, and expense allocations.
  • Evaluate accounting and operational implications of fund terms, investments, valuations, credit facilities, and other fundactivity.
  • Strengthencontrols, documentation, and reporting while using AI and automation tools to streamline audit preparation and other fund accounting processes.
  • Supportadditionalfund accounting, operational, and strategic projects based on business needs.

Qualifications

  • Bachelor’s degree in accounting, finance, economics, or a related discipline; CPA or progress toward a CPA is a plus.
  • 4–6 years of experience in public accounting, fund administration, or fund accounting, with meaningful responsibility for audits of alternative investment funds.
  • Strong understanding of financial statements, audit procedures, U.S. GAAP, fund valuations, NAV calculations, and alternative investment fund structures.
  • Experience managing audit deliverables and coordinating across auditors, administrators, tax providers, and internal stakeholders.
  • Proficiencywith Excel and AI tools, withdemonstratedexperience using technology to automate processes, analyze information, and improve accuracy and efficiency.
  • Strong attention to detail, judgment, organization, and ability to independently manage multiple deadlines in a fast-paced environment.

CAIS is consistently recognized as a Best Place to Work, and our culture is at the heart of our success. We are committed to fostering an inclusive environment where employees can be their most authentic selves and feel inspired and supported to bring their voice forward to drive community, growth, and innovation. We are an equal opportunity employer, and do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. Learn more about our culture, benefits, and people at https://www.caisgroup.com/our-company/careers .

CAIS’ compensation package includes a market competitive salary, a performance bonus, and exceptional benefits. If you are located in New York, New York, the base salary range for this role is $121,500.00 - $148,500.00 . Actual compensation is influenced by a wide array of factors including but not limited to skill set, level of experience, and specific office location.

CAIS offers a comprehensive benefits package that includes generously subsidized healthcare with 100% employer paid dental and vision insurance, an employer matched retirement plan, wellness programs, and generous PTO and parental leave. Additionally, CAIS offers a flexible, hybrid in-office model; for most roles, we dorequire a minimum of 3 days in office per week. For more information on our benefits and career opportunities, please visit our website: https://www.caisgroup.com/our-company/careers .

We use technology, including AI tools, to support parts of our recruitment process such as application screening, interview scheduling, and candidate communications. These tools are used to improve efficiency and consistency, but they do not replace human judgement. All hiring decisions are made by people, and we are committed to fair and unbiased assessment of every candidate.

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