Operations / Finance Associate

Landing Point

Boston (MA)

On-site

USD 90,000 - 110,000

Full time

14 days+

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Job summary

Landing Point, a technology-focused investment firm in Boston, is seeking an Operations Associate to join their team. You will review NAV reporting, investor statements, and quarterly finances, while assisting fund audits and month-end close.

The role emphasizes AI workflow tools and data analytics to enhance operations. The position requires a Bachelor's degree in accounting, finance, or economics and 2–3 years in accounting or fund operations, with hedge/private fund audit experience

Qualifications

  • Bachelor's degree in accounting, finance, or economics.
  • Two to three years of accounting industry or fund operations experience.
  • Experience in hedge fund or private fund audit preferred.
  • Ability to leverage AI tools for workflow streamlining.
  • Experience or interest in data sourcing and analytics.
  • Coding or scripting experience (e.g., Python, SQL) is a plus.

Responsibilities

  • Review fund administrator NAV reporting, quarter-end investor statements, and quarterly financial statements.
  • Review capital call and distribution calculations and notices.
  • Assist in preparation of fund annual reports and annual fund audit.
  • Support ad-hoc marketing and compliance projects.
  • Manage accounts payable & expense processing, including coding, routing, and reconciling invoices.
  • Support month-end close, including preparing journal entries and reconciliations.
  • Maintain intercompany entries and expense allocations.
  • Review and help prepare marketing and investor presentation materials.

Education

Bachelor's degree in accounting, finance, or economics

Tools

Python
SQL

Job description

Company Overview

A leading technology-focused investment firm with over $17 billion in assets under management is seeking an Operations Associate to join their Boston team. The role offers unique exposure to both public and private fund operations within a high-performing and entrepreneurial environment.

Job Responsibilities
  • Review fund administrator NAV reporting, quarter-end investor statements, and quarterly financial statements
  • Review capital call and distribution calculations and notices
  • Assist in preparation of fund annual reports and annual fund audit
  • Support ad-hoc marketing and compliance projects
  • Manage accounts payable & expense processing, including coding, routing, and reconciling invoices
  • Support month-end close, including preparing journal entries and reconciliations
  • Maintain intercompany entries and expense allocations
  • Review and help prepare marketing and investor presentation materials
Qualifications
  • Bachelor’s degree in accounting, finance, or economics
  • Two to three years of accounting industry or fund operations experience
  • Experience in hedge fund or private fund audit preferred
  • Ability to leverage AI tools for workflow streamlining
  • Experience or interest in data sourcing and analytics
  • Coding or scripting experience (e.g., Python, SQL) is a plus
Compensation

Salary: $90,000 – $110,000, Plus Bonus

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