Unknown Company

Assistant Fund Controller

miami, fl • Posted 3 days ago
Onsite Full Time Finance

Must have direct experience in a private equity company

Key Responsibilities

  • Review Fund NAV packages, quarterly financial statements, notes disclosures, and supporting schedules in coordination with the fund administrator.
  • Review partner capital statements in coordination with the fund administrator.
  • Support annual fund audits, gathering supporting documentation and responding to auditor requests.
  • Prepare management fee and carried interest waterfall calculations for review, in coordination with the fund administrator.

Tax

  • Assist with quarterly tax estimates and filings in coordination with the tax team and external tax advisors.

Treasury & Liquidity Management

  • Support fund liquidity management, including preparation of borrowing requests, credit facility paydowns, day-to-day funding requirements, and investor capital call and distribution notices.

Management & Investor Reporting

  • Compile and analyze fund financial data and operating metrics for recurring and ad-hoc management reporting, including quarterly investor letters.
  • Support the Investor Relations team with recurring and ad-hoc investor reporting, due diligence questionnaires, and fundraising-related requests.

Skills and Experience

Education & Experience

  • 6–7 years' experience in Private Equity Fund Accounting with a track record of strong performance.
  • Ideally a blend of Big 4 / public accounting, in-house private fund accounting, and/or fund administrator experience.
  • Bachelor's Degree or higher; CPA preferred.

Technical Skills

  • Advanced Excel skills; experience with fund accounting and treasury systems a plus.
  • Proven problem-solving, quantitative, and analytical skills.
  • Exceptional attention to detail.
  • Ability to understand, evaluate, and improve processes.

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