This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
Join a fast-growing outsourced finance firm partnering with investment managers. This is an excellent opportunity to gain real, hands-on fund accounting experience while working closely with sophisticated clients and building deep expertise in the alternative investment space. The role offers a highly flexible hybrid schedule plus over five weeks of PTO. It’s a team that values strong performance, collaboration, and long-term growth.
Job Responsibility:
Record and reconcile equity, options, FX, and derivative activity
Partner directly with PMs and counterparties to ensure timely trade settlement
Support capital calls, deal closings, and treasury for closed-end vehicles
Review NAVs, investor allocations, waterfalls, and capital statements
Prepare performance and risk reports for clients and investors
Research corporate actions and reconcile with prime brokers
Assist with valuations, expense policies, and vendor payments
Support audits, tax deliverables, and internal initiatives
Requirements:
Bachelor’s degree in Accounting or related field
1–5 years of experience in fund accounting, audit, fund administration, or tax with alternative investment clients
Hedge fund exposure is a huge plus
Strong understanding of GAAP and solid analytical skills
Advanced Excel skills
Power BI or Adaptive is a plus
Detail-oriented, organized, and comfortable in a fast-paced environment
Clear communicator who thrives in a collaborative team setting
Nice to have:
Hedge fund exposure
Power BI or Adaptive skills
What we offer:
Highly flexible hybrid schedule
Over five weeks of PTO
Medical, vision, dental, and life and disability insurance