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The Senior Fund Accountant will support fund accounting, reporting, and operational workflows across multiple investment vehicles. This role works closely with third-party administrators, auditors, and the internal investment team, contributing to quarterly closes, NAV reporting, and ongoing process improvements.
Job Responsibility:
Prepare and support periodic financial reporting, including investor funding activity, distributions, capital tracking, fees, and allocation calculations
Support the quarterly close by reviewing deliverables from third-party service providers and administrators
Assist with year-end audit and tax-related processes, including information gathering and coordination
Prepare quarterly valuation support, annual financial statements, and investor capital summaries
Produce recurring performance and analytical reports
Support responses to investor, client, and audit-related information requests
Oversee payables, receivables, and cash reconciliation processes
Partner with the investment team to ensure timely funding for investments, operating expenses, and distributions
Requirements:
Bachelor’s degree in Accounting, Finance, or Business
2–4+ years of experience in fund accounting, investment management, or financial services
Experience with private equity or private credit preferred
Strong attention to detail and analytical skills
Ability to manage multiple deadlines in a fast-paced environment
CPA a plus
Proficiency in Microsoft and Google Suites
Nice to have:
CPA a plus
Experience with private equity or private credit
What we offer:
Competitive compensation and bonus structure
medical, vision, dental, and life and disability insurance