Vice President Fund Accounting

Atlantic Group

New York (NY)

On-site

USD 150,000 - 160,000

Full time

10 days ago

Get more replies from employers

Send a job-specific resume in minutes.

Job summary

Atlantic Group in New York City is seeking a VP (Senior Associate / AVP) to join our Fund Accounting team. The role supports NAV oversight, financial reporting, and fee and capital activity across a complex platform.

You'll join a lean, capable fund accounting group during a growth phase, gaining exposure across structured credit, direct lending, insurance solutions, ETFs, and new product launches. Strong compensation and career upside accompany this opportunity.

Qualifications

  • 5+ years of fund accounting experience in private markets
  • Strong knowledge of US GAAP as applied to investment funds
  • Experience with open- and closed-end fund structures
  • CPA preferred
  • Excellent written and verbal communication skills
  • Ability to coordinate with third-party fund administrators

Responsibilities

  • Oversee NAV finalization, reconciliations, and investor allocations for open- and closed-end private funds
  • Review and approve client capital statements from third-party administrators
  • Monitor management and carried interest fees per governing documents
  • Coordinate capital calls, distributions, and expense allocations
  • Prepare quarterly unaudited and annual audited financial statements under US GAAP
  • Collaborate with external auditors and cross-functional teams to support reporting

Skills

Fund accounting
US GAAP
Open/closed-end funds
CPA preferred
Communication skills
Third-party coordination

Education

CPA certification (preferred)

Job description

Compensation: $150,000 – $160,000 Base + Bonus

About the Role

A rapidly growing, multi-strategy credit investment firm is seeking a VP (Senior Associate / AVP-level) to join our Fund Accounting team in Midtown Manhattan. This role supports NAV oversight, financial reporting, and fee and capital activity across a complex platform spanning structured credit, direct lending, insurance solutions, ETFs, and new product launches.

You'll join a lean, highly capable fund accounting group of 5 (including the Head Controller) at a firm entering a significant AUM growth phase. This is an excellent opportunity to broaden your technical exposure across multiple asset classes while working alongside intellectually rigorous colleagues.

About the Firm

They are a $15B+ multi-strategy credit investment firm specializing in private credit and structured credit with meaningful activity in the derivatives space. As a true multi-strat platform, they invest across the credit spectrum in complex, differentiated strategies. Their platform spans structured credit, direct lending, insurance solutions, and other differentiated credit strategies, and they recently launched an ETF. They combine institutional sophistication with the collaborative feel of a smaller team.

Why This Opportunity Stands Out
  • Complex, diverse platform — Exposure across 5+ asset classes including structured credit, direct lending, insurance solutions, and ETFs
  • New product launches — Contribute to the launch of the firm's first CLO and other new initiatives
  • Significant AUM growth ahead — Join at a pivotal inflection point for the firm
  • Intellectually rigorous team — Work alongside highly talented people in a collaborative environment
  • Strong compensation — Competitive total comp package with meaningful career upside
What You'll Do
NAV, P&L & Investor Allocations
  • Oversee the funds' NAV finalization process, including P&L reconciliation and allocation to investors across open- and closed-end private fund structures
  • Investigate and resolve discrepancies with third-party fund administrators and internal teams
  • Approve client capital account statements generated by third-party administrators
Fee, Capital & Expense Activity
  • Review and reconcile the calculation and payment of management and carried interest / incentive fees in accordance with fund governing documents
  • Review capital calls, distribution allocations, and notifications
  • Prepare and review expense allocations, operating expense budgets, and vendor expense payments
  • Prepare quarterly unaudited financial statements and annual audited financial statements under U.S. GAAP
  • Coordinate with external auditors for the year-end audit process
Performance Reporting & Forecasting
  • Prepare monthly attribution performance reporting for senior management
  • Prepare and review monthly fund forecasts, NAV performance estimates, and other ad hoc analyses
Regulatory, Investor & Cross-Functional Support
  • Prepare inputs for annual regulatory reporting, investor letters, custom client reporting, and firm-level reporting
  • Liaise with Operations, Investor Relations, Management Reporting, Tax, and Legal and Compliance teams
  • Review fund legal documents and support related workstreams
Process Improvement & Strategic Projects
  • Streamline and build processes and templates to support the firm's growth
  • Engage in special projects and firm strategic initiatives
  • Assist with the creation and implementation of procedures, workflows, and controls
Qualifications
  • 5+ years of relevant experience of Private industry fund accounting experience
  • Public/private mix with fund accounting exposure
  • Big 4 Manager or Senior Manager with alternative asset clients
  • Credit fund experience preferred (structured credit, direct lending, or similar)
  • Experience with both open- and closed-end fund structures
  • Strong knowledge of U.S. GAAP as applied to investment funds
  • Experience overseeing or coordinating with third-party fund administrators
  • CPA preferred
  • Strong technical accounting skills with the ability to handle complex fund structures
  • Excellent organizational skills with the ability to manage multiple priorities in a fast-paced environment
  • Strong written and verbal communication skills
  • Collaborative mindset with a process-improvement orientation
Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Director of Fund Accounting
Director of Fund Accounting

Atlantic Group • New York (NY)

On-site
USD 250,000 - 325,000
Fund Accountant
Fund Accountant

Atlantic Group • New York (NY)

On-site
USD 168,000 - 175,000
Assistant Vice President, Fund Finance
Assistant Vice President, Fund Finance

Madison-Davis, LLC • Plainfield (NJ)

On-site
USD 110,000 - 170,000
Senior Fund Accountant
Senior Fund Accountant

Atlas Search • Greenwich (CT)

Hybrid
USD 70,000 - 90,000
Hybrid flexibility (2–3 days in-office)
Competitive compensation
Excellent benefits
Fund Controller
Fund Controller

Suron • New York (NY)

Hybrid
USD 240,000 - 280,000
Hybrid work model
Annual bonus
Long-term incentive opportunities
Fund Controller
Fund Controller

Suron A.C.A. Ltd. • New York (NY)

Hybrid
USD 240,000 - 280,000
Fund Controller - VC/Growth Equity – NYC – Hybrid
Fund Controller - VC/Growth Equity – NYC – Hybrid

Advice Personnel • New York (NY)

Hybrid
USD 170,000 - 230,000
VP Fund Accounting (Open Ended HF)
VP Fund Accounting (Open Ended HF)

Atlas Search • New York (NY)

Hybrid
USD 150,000 - 200,000
Medical insurance
401(k)
Vision insurance
+5
Senior Fund Accountant
Senior Fund Accountant

Atlantic Group • New York (NY)

On-site
USD 150,000 - 160,000
Manager Credit Fund Accounting
Manager Credit Fund Accounting

Atlas Search • New York (NY)

Hybrid
USD 120,000 - 180,000