Abacus Group, LLC
Overview
Our client is a private equity firm. They seek a Director of Fund Accounting to join their Los Angeles, CA office. This opportunity offers a hybrid schedule, comprehensive compensation, and competitive benefits.
Base pay range $150,000.00/yr - $200,000.00/yr
Responsibilities
Review quarterly NAVs, financial statements, partner allocations, and supporting schedules
Oversee fund accounting shadow books and support the internal reporting process
Assist with trade allocation management in a multi-master fund structure
Participate in reviewing the fund OM / LPA and providing comments to legal
Work with the tax group, blocker entity accounting, and fund management mechanics
Review periodic compliance reporting and ensure compliance with credit agreements
Manage the fund's operations, including capital calls, distributions, and valuation activities
Build relationships with fund administrators, custodians, and other service providers
Aid in cash management and liquidity planning, and review performance reporting
Help with the preparation of quarterly board materials and marketing presentations
Requirements
15+ years of fund accounting experience
Private or combo accounting background
Investment accounting/fund accounting experience
Experience with Private Credit funds, Hedge funds, SPVs
Able to analyze complex financial data
Strong understanding of US GAAP
Excellent communication and interpersonal skills
Managerial experience preferred
CPA strongly preferred
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Base pay range $150,000.00/yr - $200,000.00/yr
Responsibilities
Review quarterly NAVs, financial statements, partner allocations, and supporting schedules
Oversee fund accounting shadow books and support the internal reporting process
Assist with trade allocation management in a multi-master fund structure
Participate in reviewing the fund OM / LPA and providing comments to legal
Work with the tax group, blocker entity accounting, and fund management mechanics
Review periodic compliance reporting and ensure compliance with credit agreements
Manage the fund's operations, including capital calls, distributions, and valuation activities
Build relationships with fund administrators, custodians, and other service providers
Aid in cash management and liquidity planning, and review performance reporting
Help with the preparation of quarterly board materials and marketing presentations
Requirements
15+ years of fund accounting experience
Private or combo accounting background
Investment accounting/fund accounting experience
Experience with Private Credit funds, Hedge funds, SPVs
Able to analyze complex financial data
Strong understanding of US GAAP
Excellent communication and interpersonal skills
Managerial experience preferred
CPA strongly preferred
#J-18808-Ljbffr