Marga Consulting LLC
Fund Accountant – Responsibilities
Maintain books and records for family office, private equity, hedge fund entities, including master‑feeder, parallel, co‑investment, nested structures, family entities, trusts, foundations and holding companies. Prepare daily, weekly and monthly reconciliations of cash, positions and liquid vehicles. Perform portfolio accounting for diverse asset classes by recording and reconciling investment activity. Manage investor‑level accounting including capital accounts, subscriptions/redemptions, allocations of income, waterfalls and investor‑level performance calculations. Prepare daily and monthly NAVs for hedge funds and family offices and quarterly financial statements for private equity funds in accordance with U.S. GAAP. Prepare investor reporting packages, including capital call/distribution notices, monthly statements and quarterly reports. Monitor compliance with fund offering documents, partnership agreements and regulatory requirements. Correspond with external clients and stakeholders regarding day‑to‑day inquiries including fee payments, cash position breaks and reconciliations. Help coordinate and support various year‑end audit engagements in accordance with GAAP accounting standards and assist with the preparation of first‑draft audited financial statements. Partner with the President of Fund Administration to identify and drive opportunities for automation and process efficiency. Be a cultural change agent to build an engaged, collaborative, proactive, client‑centric culture with constant improvement and evolution. Help drive process standardization, consistency and automation. Assist with the expansion of Fund Administration in the Denver office. What We Need From You – Qualifications
BA/BS in Accounting, Finance, Mathematics or equivalent work experience. Intermediate skills in Microsoft Excel. Strong written and verbal communication skills, as you will primarily support clients through email and/or phone calls. Hybrid position with 3 days in office (Indy or Denver). What We Would Like From You – Desired Attributes
CPA certification (or working toward). Proven customer service skills to provide daily support to internal and external clients. Emphasis on organizational skills and the ability to quickly switch context and multi‑task. The self‑motivation and drive to monitor multiple client deliverables without sacrificing excellence or quality. Seniority & Employment
Seniority level: Associate Employment type: Full‑time Job function: Accounting/Auditing Industries: Software Development
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Maintain books and records for family office, private equity, hedge fund entities, including master‑feeder, parallel, co‑investment, nested structures, family entities, trusts, foundations and holding companies. Prepare daily, weekly and monthly reconciliations of cash, positions and liquid vehicles. Perform portfolio accounting for diverse asset classes by recording and reconciling investment activity. Manage investor‑level accounting including capital accounts, subscriptions/redemptions, allocations of income, waterfalls and investor‑level performance calculations. Prepare daily and monthly NAVs for hedge funds and family offices and quarterly financial statements for private equity funds in accordance with U.S. GAAP. Prepare investor reporting packages, including capital call/distribution notices, monthly statements and quarterly reports. Monitor compliance with fund offering documents, partnership agreements and regulatory requirements. Correspond with external clients and stakeholders regarding day‑to‑day inquiries including fee payments, cash position breaks and reconciliations. Help coordinate and support various year‑end audit engagements in accordance with GAAP accounting standards and assist with the preparation of first‑draft audited financial statements. Partner with the President of Fund Administration to identify and drive opportunities for automation and process efficiency. Be a cultural change agent to build an engaged, collaborative, proactive, client‑centric culture with constant improvement and evolution. Help drive process standardization, consistency and automation. Assist with the expansion of Fund Administration in the Denver office. What We Need From You – Qualifications
BA/BS in Accounting, Finance, Mathematics or equivalent work experience. Intermediate skills in Microsoft Excel. Strong written and verbal communication skills, as you will primarily support clients through email and/or phone calls. Hybrid position with 3 days in office (Indy or Denver). What We Would Like From You – Desired Attributes
CPA certification (or working toward). Proven customer service skills to provide daily support to internal and external clients. Emphasis on organizational skills and the ability to quickly switch context and multi‑task. The self‑motivation and drive to monitor multiple client deliverables without sacrificing excellence or quality. Seniority & Employment
Seniority level: Associate Employment type: Full‑time Job function: Accounting/Auditing Industries: Software Development
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