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).
We are looking for a detail-oriented Fund Accountant to support financial operations for investment vehicles within our asset management organization in Charlotte, North Carolina. This role will focus on fund reporting, close activities, audit and tax coordination, and oversight of key deliverables prepared with external service providers. The ideal candidate brings strong investment accounting knowledge, sound analytical ability, and a disciplined approach to meeting recurring reporting deadlines.
Job Responsibility
Produce and evaluate quarterly fund financial statements to ensure accuracy, completeness, and alignment with applicable accounting and reporting standards
Lead monthly close coordination by working closely with the fund administrator and internal investment accounting partners to keep deliverables on schedule
Examine supporting schedules and investor-related calculations, including fee allocations, distribution models, and statement packages, for quality and consistency
Oversee recurring and ad hoc investor reporting requests by partnering with external administrators and internal relationship teams to deliver timely supplemental information
Support the completion of annual audits across multiple investment entities by organizing documentation, addressing requests, and facilitating communication with auditors
Partner with external tax advisors on data gathering, analysis, filings, registrations, and review of fund tax return materials
Act as a key contact for compliance matters related to investment structures, coordinating with asset managers and outside tax professionals as needed
Prepare and maintain quarterly benchmark reporting, variance analysis, and other fund-level performance support materials
Review quarterly debt compliance reporting and contribute accounting support for acquisitions, transactions, and other investment activity
Requirements
3+ years of experience in fund accounting, investment accounting, or a closely related finance role
Background working with fund administrators, investment portfolios, and period-end close processes
Knowledge of financial statement preparation, external reporting, and annual reporting requirements for investment vehicles
Experience reviewing calculations and reporting tied to management fees, investor allocations, or similar fund activity
Ability to coordinate effectively with auditors, tax advisors, and cross-functional internal stakeholders
Strong analytical, organizational, and problem-solving skills with close attention to detail
Proficiency in managing multiple deadlines and maintaining accuracy in a fast-paced reporting environment
What we offer
medical, vision, dental, and life and disability insurance