Selby Jennings
Overview
Location : New York, NY Job Type : On-Site Salary : $150,000-225,000/year + Bonus Our client is an asset manager seeking a Fund Accountant to help with the launch of a new equity multi-strat fund. Responsibilities would span all fund accounting activities as well as touch on some middle office functions in trading and operations. They will collaborate closely with tax, legal, and operations teams, and work directly with senior management. Key Responsibilities
Manage the monthly and quarterly NAV process. Oversee the general ledger, fee calculations, and financial statement preparation. Maintain and reconcile books and records. Manage capital activities of the fund. Implement internal financial controls and risk management procedures. Reconcile daily trade activity, cash, and position balances. Support pre- and post-trade workflows. Improve systems and automation. Key Qualifications
5-10 years of experience in fund accounting within a hedge fund or asset manager. CPA, CFA, or CAIA Experience with NAV calculations, fee structures, and financial statement preparation. Familiarity with trade lifecycle, settlement processes, reconciliation. Proficiency in Excel and accounting software (e.g., Arcesium, Geneva, Investran, VBA). Seniority level
Entry level Employment type
Full-time Job function
Accounting/Auditing, Analyst, and Strategy/Planning Industries: Funds and Trusts Note: This description focuses on the role responsibilities and qualifications. Other job postings and alerts visible on the platform have been removed for clarity.
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Location : New York, NY Job Type : On-Site Salary : $150,000-225,000/year + Bonus Our client is an asset manager seeking a Fund Accountant to help with the launch of a new equity multi-strat fund. Responsibilities would span all fund accounting activities as well as touch on some middle office functions in trading and operations. They will collaborate closely with tax, legal, and operations teams, and work directly with senior management. Key Responsibilities
Manage the monthly and quarterly NAV process. Oversee the general ledger, fee calculations, and financial statement preparation. Maintain and reconcile books and records. Manage capital activities of the fund. Implement internal financial controls and risk management procedures. Reconcile daily trade activity, cash, and position balances. Support pre- and post-trade workflows. Improve systems and automation. Key Qualifications
5-10 years of experience in fund accounting within a hedge fund or asset manager. CPA, CFA, or CAIA Experience with NAV calculations, fee structures, and financial statement preparation. Familiarity with trade lifecycle, settlement processes, reconciliation. Proficiency in Excel and accounting software (e.g., Arcesium, Geneva, Investran, VBA). Seniority level
Entry level Employment type
Full-time Job function
Accounting/Auditing, Analyst, and Strategy/Planning Industries: Funds and Trusts Note: This description focuses on the role responsibilities and qualifications. Other job postings and alerts visible on the platform have been removed for clarity.
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