About the job
As a Fund Accounting Specialist, you will play a pivotal role in delivering exceptional fund accounting and investor reporting services tailored for private equity and alternative investment funds. Your responsibilities will include managing NAV production, overseeing capital activity, executing fee calculations, and ensuring compliance with fund governing documents. You will also collaborate closely with both internal teams and external stakeholders to enhance operational efficiency.
Key Responsibilities
Prepare and/or review monthly and quarterly NAV packages to ensure accuracy and compliance.
Record and analyze trade activity, income, and expenses while applying precise security valuations within the portfolio accounting system.
Facilitate the preparation and review of capital call and distribution processes.
Allocate fund-level profits and losses to investors and support the creation of ILPA-compliant investor statements in accordance with legal documentation.
Calculate management fees and carried interest, ensuring accurate financial reporting.
Conduct thorough analyses of fund expenses and coordinate the processing of these expenses.
Review essential fund legal documents, including Limited Partnership Agreements and Private Placement Memorandums.
Engage with internal teams, clients, auditors, and other external parties to support reporting, audits, and operational processes effectively.

