Senior Fund Controller – PE & Private Credit

Atlantic Group

New York (NY)

On-site

USD 150,000 - 210,000

Full time

14 days+

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Job summary

Atlantic Group is seeking a high-caliber Fund Controller to lead the financial operations of its diverse private equity fund structures. This role covers fund accounting, tax compliance, treasury oversight, investor reporting, and transaction support to ensure high integrity and operational excellence.

You will work closely with senior leadership, including CFO and Director of Accounting, to drive performance and maintain strong governance across portfolios.

Qualifications

  • 8–12 years of experience in private equity fund accounting, public/private mix, or a similar investment finance role.
  • Strong knowledge of fund structures, partnership accounting, and investor reporting requirements.
  • Experience interpreting LPAs, managing audits, and overseeing tax compliance processes.
  • Proficiency with Investran and Excel; ability to build and review waterfall models.

Responsibilities

  • Oversee accounting operations for funds, including internal/external reporting and quarterly financials.
  • Prepare capital call/distribution notices, waterfall models, and investor performance reports.
  • Lead audit processes with external auditors and legal counsel; ensure proper partnership mechanics.
  • Manage investor tax deliverables and compliance workflows with third-party providers.
  • Support treasury activities including capital planning and credit facilities.
  • Collaborate with investment teams on acquisitions, dispositions and capital activity.
  • Mentor fund accountants, manage workflows with administrators, maintain accuracy across systems like Investran.

Skills

Fund accounting
Financial reporting
Investor reporting
Audit coordination
Tax compliance
Treasury management
Mentorship
Investran
Excel
Waterfall modeling

Education

CPA preferred

Tools

Investran
Excel

Job description

Atlantic Group is seeking a high-caliber Fund Controller to lead the financial operations of its diverse private equity fund structures. This role covers fund accounting, tax compliance, treasury oversight, investor reporting, and transaction support to ensure high integrity and operational excellence.

You will work closely with senior leadership, including CFO and Director of Accounting, to drive performance and maintain strong governance across portfolios.

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