PE Controller (Growth Due To New Fund Launches)

Atlantic Group

New York (NY)

Hybrid

USD 90,000 - 150,000

Full time

45 hours ago
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Job summary

Atlantic Group is representing another firm for this position, with the NYC office operating on a hybrid basis. The ideal candidate will have 7–12 years of fund accounting, audit, or fund admin experience, preferably from a Big 4 or fund admin background, transitioning to core fund work in-house.

Responsibilities include reviewing fund financials, supporting investor reporting, NAV processes, distributions, and working with the fund administrator on audits and liquidity analysis.

Qualifications

  • Bachelor’s Degree in accounting, finance, or business at minimum.
  • 7 – 12 years of relevant experience in the accounting, finance, or commercial real estate fields.

Responsibilities

  • Assist with the review of the fund financials
  • Be a key member helping out with the investor reporting process (month, quarter, and year-end close process)
  • Help with the NAV, capital calls, distributions, waterfalls, etc.
  • Oversee the fund administrator and help with the annual audits
  • Help the finance/treasury team with liquidity analysis, KPI's (IRR, AUM reporting, etc.), and complex valuations
  • Have an analytical mindset and help out with process improvement initiatives/increasing efficiency
  • Respond to investor requests, the Investor Relations (IR) team, and special projects as they arise

Skills

Analytical mindset
Attention to detail
Communication

Education

Bachelor’s Degree in accounting, finance, or business

Job description

Atlantic Group is representing another firm for this position. Please note that the company name and additional details will be provided once you are selected and contacted.

You will have the opportunity to help al financial services firm. You will be working out of their NYC office (currently hybrid).

The ideal candidate will have 7-12 years of fund accounting OR audit OR fund admin (Big 4 public accounting firm/fund admin to start and then core fund experience in house) experience currently.

Responsibilities
  • Assist with the review of the fund financials
  • Be a key member helping out with the investor reporting process (month, quarter, and year-end close process)
  • Help with the NAV, capital calls, distributions, waterfalls, etc.
  • Oversee the fund administrator and help with the annual audits
  • Help the finance/treasury team with liquidity analysis, KPI's (IRR, AUM reporting, etc.), and complex valuations
  • Have an analytical mindset and help out with process improvement initiatives/increasing efficiency
  • Respond to investor requests, the Investor Relations (IR) team, and special projects as they arise
Qualifications
  • Bachelor’s Degree in accounting, finance, or business at minimum
  • 7 – 12 years of relevant experience in the accounting, finance, or commercial real estate fields

Note: Qualified candidates will be contacted. If an applicant is not chosen, we will keep your resume on file for future opportunities and may contact you for further discussion.

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