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The Fund Accounting Manager will play a critical role across fund operations, financial reporting, cash management, and investor support for multiple private equity vehicles. This position is ideal for someone who thrives on variety, complex transactions, and meaningful involvement across all aspects of fund management within a small, collaborative team.
Job Responsibility:
Maintain fund and GP general ledgers, including expenses, accruals, intercompany activity, investment entries, and partner allocations
Prepare quarterly and annual financial statements
Coordinate audit and tax processes
liaise with external auditors, tax advisors, and third‑party service providers
Monitor fund‑level cash positions and liquidity needs
Calculate, record, and process capital calls and distributions
Requirements:
3+ years of experience in private equity fund accounting, audit, or tax (public accounting at the Senior Associate level also considered)
Bachelor’s degree in Accounting, Business, Economics, or a related field (strong GPA a plus)
Excellent organizational and time‑management skills
Ability to thrive in a fast‑paced, collaborative environment
A detail‑oriented mindset with strong written and verbal communication skills
What we offer:
401(k) with 6% firm contribution (not a match)
Generous annual bonus potential
100% employer‑covered health benefits
Flexible time‑off policy (typically ~3 weeks, subject to manager approval)