Accounting Associate

New York, New York • $140,000-$160,000

About the Company: 

Our client is a $20 billion multi-strategy hedge fund that invests in both public and private markets for its investors on a global scale.

 

Responsibilities: 

  • Prepare internal investor allocations and reconcile them to the fund administrator with a focus on reviewing P/L allocation and fee calculations
  • Oversee the fund administrator with a focus on the monthly close process
  • Reconcile capital activity including both investor-level subscriptions and redemptions along with private investment-related activity
  • Ensure daily accounting entries in Geneva are properly recorded and reconcile internal shadow books to the fund administrator on a monthly basis
  • Prepare reporting for our investor relations team as well as the management committee
  • Review regulatory filings to ensure accuracy such as Form PF and FAR filings
  • Monitor and allocate fund level expenses and ensure timely payment to external vendors

 

Requirements: 

  • Bachelor’s degree in accounting
  • 5-7 years of related hedge fund accounting experience
  • Advanced proficiency in Microsoft Excel
  • Exposure to complex investor allocations including performance fee calculations
  • Experience with Advent Geneva and shadow booking
  • Familiarity with side pockets
  • CPA preferred

 

Salary Range: 

$140,000-$160,000

 

 

#LI-BM1

 

 

  • Drop files here or
    Max. file size: 2 MB.
    • This field is for validation purposes and should be left unchanged.