Robert Half Financial Services are hiring for a Private Equity Fund Accountant role for a global Investment firm located in midtown Manhattan New York.
Our client requires 2+ years Fund Accounting experience within Private Equity, Private Credit, Fund Administration or Big4/Public covering Asset Management or REIT clients.
CPA license or parts passed is highly desirable, must have knowledge of NAV, Capital Calls, Waterfalls, GAAP, Financial Statement review, Reconciliations and Audit/Tax support.
The Private Equity Fund Accountant role requires 5 days per week in the midtown Manhattan office.
The salary is flexible dependent on experience, the range is $100-140k base plus bonus.
Applicants must be eligible to work in the United States.
Responsibilities:
- Maintain and oversee the accounting and reporting processes for private equity, private credit, and open-ended fund structures.
- Review and validate monthly, quarterly, and annual fund accounting packages prepared internally and by external fund administrators.
- Prepare and review NAV calculations and supporting workpapers.
- Review fund and partnership allocations, including investor-level activity and capital account balances.
- Assist in the preparation and review of quarterly and annual financial statements in accordance with U.S. GAAP and other applicable reporting standards.
- Support the accounting and reporting of fund-related legal entities, SPVs, and investment vehicles.
- Prepare and review capital call and distribution calculations and related investor notices.
- Assist with management fee calculations and related reporting.
- Prepare and review carried interest and waterfall calculations across multiple fund structures.
- Support quarterly investor reporting and ad hoc investor information requests.
- Coordinate with Investor Relations and other internal stakeholders to ensure timely delivery of investor materials.
- Serve as a primary point of contact for external fund administrators.
- Review fund administrator deliverables for completeness, accuracy, and adherence to governing documents.
- Identify and resolve accounting, reporting, and operational discrepancies.
- Drive process improvements and help establish scalable controls and procedures across the fund platform.
- Coordinate annual audits and serve as a key liaison with external auditors.
- Prepare audit support schedules and respond to information requests.
- Coordinate with external tax advisors and administrators regarding partnership tax reporting and K-1 preparation.
- Assist with the implementation of new accounting policies and regulatory reporting requirements as needed.
Qualifications:
- 2+ years Fund Accounting experience within Private Equity, Private Credit, Fund Administration or Big4/Public covering Asset Management or REIT clients
- CPA license or parts passed is highly desirable
- Must have knowledge of NAV, Capital Calls, Waterfalls, GAAP, Financial Statement review, Reconciliations and Audit/Tax support
- Bachelor or Master Degree in Accounting