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Join a high-impact investment management firm. With over $5B in AUM, this mission-driven team partners with sophisticated investors to create lasting community impact. This role offers the chance to work on a small, collaborative team where your work is visible and valued. You’ll gain direct exposure to senior leadership, hands-on fund accounting experience, and meaningful projects.
Job Responsibility:
Prepare fund financial reporting, including capital calls, distributions, fees, and waterfall calculations
Support quarterly closes, NAV calculations, and annual financial statements
Review and coordinate with fund administrators and third-party providers
Assist with audits, tax filings, and LP reporting requests
Produce fund and investment performance reporting
Manage cash activity, AP/AR, reconciliations, and funding coordination
Identify and implement process and system improvements
Requirements:
2–4+ years of experience in investment funds or financial services
Private equity or private credit experience preferred
CPA a plus
Strong attention to detail, analytical skills, and communication
Comfortable managing multiple deadlines
Proficient in Microsoft Office and Google Suite
Nice to have:
Private equity or private credit experience preferred
CPA a plus
What we offer:
Flexible hybrid schedule (2–3 days in office)
Strong long-term growth potential
Access to top jobs, competitive compensation and benefits, and free online training
Benefits are available to contract/temporary professionals, including medical, vision, dental, and life and disability insurance
Hired contract/temporary professionals are also eligible to enroll in our company 401(k) plan