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- Supervise a team of fund accountants to produce and deliver precise reports to external clients.
- Offer comprehensive accounting services for private equity fund clients, involving the meticulous review and processing of transactions and various fund accounting outputs for dissemination to external clients and investors.
- Provide dedicated support to address queries from clients and investors.
- Review the accuracy of the fund accounting teams fee calculations in line with applicable fund terms, encompassing management fees, capital call amounts, distribution amounts, carried interest, and waterfall calculations.
- Scrutinize various statements and notifications, including investor capital call and distribution notices.
- Generate ad-hoc reports and conduct analyses specific to funds and investors as required.
- Review the quarterly and annual financial reports of funds.
- Oversee Special Purpose Vehicle (SPV) accounting.
- Assist clients in handling diverse reporting needs like CRS/FATCA, VAT, K1s, K3s, etc.
- Aid clients in addressing and resolving audit inquiries from external auditors during year-end audits.
- Contribute to initial discussions with clients during the pre-project stage to define more detailed service models for specific clients, as necessary.
- Assist in onboarding existing funds and launching new ones.
- Engage in both internal and external technological solutions to address complex reporting and data requirements of clients.
- Participate in strategic planning to enhance processes and the team's overall performance.
- Gain exposure to and grasp the latest technology solutions in the asset servicing industry, aiming to drive automation for reduced manual work and enhance value-added services for clients.
- Fulfill additional duties as required.
- Bachelors degree in Accounting, Commerce, Finance, or a related field with a significant focus on Accounting.
- Possession of an internationally recognized accounting qualification or active pursuit of such professional certifications like CPA, CA is highly valued.
- A minimum of 8 years of experience in accounting, specifically within the private equity sector, or a blend of audit/fund administration and private equity funds expertise is highly preferred.
- Proficient in GAAP accounting standards (USGAAP).
- Demonstrated experience in team management or reviewer roles is essential.
- Exceptional written and verbal communication and presentation skills.
- Ability to thrive under pressure, handle multiple tasks, and excel in a fast-paced work environment.
- Upholds high integrity, accountability, and punctuality in proposing solutions, time management, and reporting to management promptly.
- Detail-oriented, analytical, self-motivated, and capable of delivering high-accuracy work.
- Strong problem-solving abilities and a collaborative team player.
- Proactive approach with excellent organizational and planning skills.
- Fluency in spoken and written English.
- Proficiency in Excel and other Windows-based software.
Senior Accounting Fund Manager - San Francisco, CA, United States - Hamlyn Williams
Description
Our client is seeking a qualified individual to oversee a team of fund accountants, ensuring the delivery of top-tier fund administration services to asset and fund managers within the private equity domain. The role involves meticulous review processes and serving as a primary liaison for private equity clientele.
Key Responsibilities:
Qualifications:
Other Skills:
For more information on this role, or if you're looking for your next opportunity and/or looking to hire please reach out:
Jack Walsh | Associate Consultant | |
by Jobble
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