Senior Associate, PE Fund Accounting & Reporting

State Street

Princeton (NJ)

On-site

USD 52,000 - 94,120

Full time

14 days+

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Benefits offered by this job

401K with company match
Comprehensive benefits package (health
Dental, vision, and life insurance

Job summary

State Street is seeking a Senior Associate to contribute to the Private Equity and Real Assets Fund Services business unit. You will deliver financial reporting and accounting support to premier real-estate-fund clients, driving innovative solutions that enhance service delivery.

Responsibilities include maintaining the general ledger, preparing financial statements and footnote disclosures, analyzing investment performance, and coordinating capital calls and distributions, with a focus on

Qualifications

  • Fund accounting or public accounting experience.
  • CPA or actively pursuing CPA certification.
  • Experience leading verbal and written communications at senior levels with internal and external clients.
  • Excellent administrative and organizational skills with the ability to multi‑task and meet client deliverables.

Responsibilities

  • Maintain the general ledger for global real‑estate‑fund entities.
  • Prepare supporting work papers for financial statements, portfolio schedules, and capital‑account allocations.
  • Prepare financial statements and mandatory footnote disclosures.
  • Conduct analytical review of monthly/quarterly investment performance data.
  • Review and/or prepare capital calls, distributions and bank reconciliations.
  • Compute mandatory incentive and annual fee calculations.
  • Prepare client correspondence.
  • Calculate mandatory waterfalls and capital‑account allocations.
  • Execute mandatory and ad‑hoc special projects.

Education

CPA or actively pursuing CPA certification

Job description

State Street is seeking a Senior Associate to contribute to the Private Equity and Real Assets Fund Services business unit. You will deliver financial reporting and accounting support to premier real-estate-fund clients, driving innovative solutions that enhance service delivery.

Responsibilities include maintaining the general ledger, preparing financial statements and footnote disclosures, analyzing investment performance, and coordinating capital calls and distributions, with a focus on

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