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MUFG Capital Analytics

Fund Accountant

MUFG Capital Analytics, Dallas, Texas, United States, 75215

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About MUFG Capital Analytics MUFG Capital Analytics is a leading solutions provider for the global alternative investment management industry. Based in Dallas, MUFG Capital Analytics’ team of seasoned professionals utilizes cutting‑edge technologies to deliver comprehensive solutions to our clients across the globe, in the private equity and real estate industries. For over 25 years, MUFG Capital Analytics has represented a diverse range of clients across the globe that encompass public and private markets, hedge funds, fund of funds, private equity, private debt, real assets, infrastructure, mutual funds, and venture capital.

Top Workplaces Award in Dallas–Ft. Worth 2024 MUFG Capital Analytics has been recognized as one of the Top Workplaces in Dallas‑Fort Worth by The Dallas Morning News — a testament to our strong culture of trust, collaboration, and employee empowerment.

Join our team and be part of an organization celebrated for workplace excellence, diversity, and flexibility!

Job Description This growth‑oriented position will have the primary responsibility of record keeping and financial reporting for several private equity investment partnership clients and will report to a Fund Controller. This individual will be responsible for understanding and applying current accounting principles to the accounting and financial reporting of investment partnerships and for reviewing transaction and valuation information. A partial list of responsibilities and skills includes:

Recording journal entries and maintaining general ledger for assigned partnerships

Reconciliation of bank accounts

Preparation of capital calls and distributions notices to partners

Maintain a working understanding of the limited partnership agreements(s) and apply the terms to the financial reporting and the income and expense allocations

Maintain a working knowledge of current accounting principles and developing solutions for issues that affect investment partnerships

Preparation of financial statements and footnotes

Allocation of income and expenses to the partners’ capital accounts

Preparation of various management reports for assigned partnerships

Requirements Education

College degree with a major in accounting

Minimum GPA of 3.0

CPA or CPA candidate

Experience

Up to 2 years fund accounting experience

Proactive, resourceful, strong work ethic, team player

Strong Excel and analytical skills

Excellent communication skills, both written and verbal

Seniority level

Associate

Employment type

Full‑time

Job function

Accounting/Auditing

Benefits

Medical insurance

Vision insurance

401(k)

Paid maternity leave

Paid paternity leave

Tuition assistance

Disability insurance

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