Senior Fund Accountant

AccruePartners

Charlotte (NC)

On-site

USD 90,000 - 120,000

Full time

10 hours ago
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Job summary

AccruePartners seeks a Fund Finance Accountant to join its collaborative Fund Finance team, supporting investments across funds, joint ventures, and SPEs. The role offers broad exposure to fund operations, financial reporting, investor activity, valuations, and investment structures.

You will be involved in wire transfers, journal entries, investor capital calls, and quarterly valuation processes, with close collaboration to leadership and external partners.

Qualifications

  • 3–5 years of progressive accounting experience.
  • Real estate fund accounting experience preferred.
  • Public accounting experience in financial services or investment clients is relevant.
  • Bachelor’s degree in Accounting, Finance, or related discipline.
  • CPA or progress toward CPA accreditation preferred.
  • Experience preparing or supporting financial statements under U.S. GAAP and/or IFRS.
  • Strong general ledger and reconciliation experience.
  • Advanced Excel skills and proficiency with Microsoft Office.
  • Demonstrated ability to implement process improvements.
  • Strong attention to detail with the ability to review work critically.
  • Ability to manage competing priorities while collaborating across a team.
  • Strong communication and interpersonal skills.

Responsibilities

  • Review wire transfers, related journal entries, and transaction activity.
  • Prepare and review allocations, supporting documentation, and journal entries across investment funds.
  • Support expense payments, investment funding, and distributions.
  • Prepare investor capital calls, distributions, and management fee calculations, notices and wires.
  • Coordinate and track intercompany transactions.
  • Reconcile fund, middle-tier, joint venture, and SPE investment and equity accounts.
  • Maintain historical and forecasted cash tracking schedules.
  • Coordinate expense reimbursements with JV partners.
  • Assist with the quarterly valuation process.
  • Participate in fund and deal setup and structuring.
  • Prepare monthly and quarterly workpapers supporting fund activity.
  • Assist with quarterly financial statements, including footnotes, under U.S. GAAP and Investment Company accounting.
  • Prepare quarterly investor statements and respond to investor-related requests.
  • Support external audit inquiries and provide documentation as required.
  • Coordinate information for external tax consultants and review tax reporting.
  • Support internal analysis and ad hoc requests across the organization.

Job description

  • Growing investment organization with a sophisticated real estate investment platform
  • Collaborative Fund Finance team supporting investment activity across funds, joint ventures, and special purpose entities
  • Opportunity to work closely with finance leadership, investment teams, external partners, auditors, tax advisors, and investors
  • Environment that values strong technical accounting, attention to detail, ownership, and continuous process improvement
  • Highly visible role with exposure across fund operations, reporting, investment activity, and investor-related processes
  • Reports directly to the Director of Fund Finance
WHAT THEY OFFER YOU
  • Opportunity to join a growing investment platform and develop deeper expertise within real estate fund accounting
  • Broad exposure across fund operations, financial reporting, investor activity, valuations, and investment structures
  • Ability to work across multiple entities including funds, joint ventures, middle-tier entities, and SPEs
  • Hands-on involvement in capital calls, distributions, management fees, investment funding, and cash activity
  • Exposure to quarterly valuation processes and fund/deal setup and structuring
  • Opportunity to partner with both internal stakeholders and external auditors, tax consultants, investors, and JV partners
  • Strong platform for an accountant seeking to build long-term expertise in fund finance and investment accounting
WHAT YOU WILL DO
  • Review wire transfers, related journal entries, and transaction activity
  • Prepare and review allocations, supporting documentation, and journal entries across investment funds
  • Support expense payments, investment funding, and distributions
  • Prepare investor capital calls, distributions, and management fee calculations, along with related notices and wires
  • Coordinate and track intercompany transactions
  • Reconcile fund, middle-tier, joint venture, and SPE investment and equity accounts
  • Maintain historical and forecasted cash tracking schedules
  • Coordinate expense reimbursements with joint venture partners
  • Assist with the quarterly valuation process
  • Participate in fund and deal setup and structuring
  • Prepare monthly and quarterly workpapers supporting fund activity
  • Assist with quarterly financial statement preparation, including footnotes, under U.S. GAAP and Investment Company accounting
  • Prepare quarterly investor statements and respond to investor-related requests
  • Support external audit inquiries and provide documentation as required
  • Coordinate information for external tax consultants and review relevant tax reporting
  • Support internal analysis and ad hoc requests across the organization
BACKGROUND PROFILE
  • 3-5 years of progressive accounting experience
  • Real estate fund accounting experience is strongly preferred
  • Public accounting experience supporting financial services or investment-related clients is also highly relevant
  • Bachelor’s degree in Accounting, Finance, or a related discipline
  • CPA or progress toward CPA accreditation is preferred
  • Experience preparing or supporting financial statements under U.S. GAAP and/or IFRS
  • Strong general ledger and account reconciliation experience
  • Advanced Excel skills and overall proficiency with Microsoft Office
  • Demonstrated ability to identify and implement process improvements
  • Strong attention to detail with the ability to both prepare work and critically review completed work product
  • Ability to manage competing priorities while collaborating effectively across a team
  • Strong communication and interpersonal skills
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