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A private family office is seeking a Senior Fund Accountant to support accounting, reporting, tax coordination, and cash management for its pooled investment vehicles (“the Funds”). This role partners closely with internal operations staff and external service providers to ensure accurate, timely financial and investor reporting.
Job Responsibility:
Manage daily accounting activities, including cash review and journal entries
Lead quarterly close processes, including valuation review, reconciliations, and investor reporting
Oversee preparation and review of audited financial statements and support annual audit activities
Coordinate tax compliance with external accounting partners
Review investment documentation and support general fund administration
Maintain investor transaction schedules and review materials for capital calls and distributions
Support all Fund‑related cash flow processing and perform regular cash reconciliations
Forecast liquidity needs and process stock distributions
Collaborate with Fund Accountants and treasury staff to streamline workflows
Leverage technology to improve processes and support new fund launches
Provide backup support on projects as needed
Requirements:
7+/- years of accounting/tax – Private Equity type clients or exposure somewhere
Public CPA +++
Must have some good exposure to the tax piece
Nice to have:
Any family office or co-investment experience is a plus
What we offer:
medical, vision, dental, and life and disability insurance