Fund Accounting Associate
Andrews Cole
- Washington, Utah, United States
- Washington, Utah, United States
About
RESPONSIBILITES:
Coordinate and track fund-level leverage utilizationAnalyze and interpret deal documentation for accounting and financial reporting purposes, including accurate application of distribution waterfall, to calculate incentive allocations and performance returnsPrepare transaction memoranda documenting divestures, restructuring, loan prepayments, make whole computation, restructuring and other analysis, which will be communicated to management, investors and back office accounting service providersCoordinate the settlement and documentation review of loan originations with counterparties, agent banks, counsels and loan servicing providersAssist in the analysis and interpretation of deal documentation for accounting and financial reporting purposes, including accurate computation of management fees and application of distribution waterfall, to calculate incentive allocations and performance returnsProvide detailed assistance in the preparation of monthly, quarterly and annual close packages for a number of managed funds, including blocker entities and master/feeder fundsReconcile and track monthly investment activity, expense budget, accruals, management fees and carried interest calculations, etc...Oversee the monthly, quarterly and annual financial reporting process in conjunction with back office service providers, including drafting of footnote disclosures in accordance with InvestmentCompany Guide accountingAssist tax department in preparation of fund and investor tax returns as well as the calculation of deferred and current entity level tax provisionsPrepare audit PBCs, confirmations and manage external auditor requestsPrepare accounting position/technical research papersWork closely with outsourced back office function and custody service providers dailyWork closely with the compliance department to support issuance of regulatory reports/filingsAssist the capital development team and investor relations in meeting client service needsCalculate fund and portfolio level performance metrics and prepare monthly performance flash reportsProvide support to the Accounting and Finance team in identifying, documenting and updating the group's system of internal controls processes and proceduresProvide on-going ad-hoc assistance to senior management in the preparation of financial analyses and reports used for a variety of purposes including, but not limited to investor and potential investor presentations and portfolio related mattersQUALIFICATIONS:
Bachelor's degree (BA or BS) in Business, Finance, Accounting or Economics; CPA license or equivalent is a plus4-7 years of investment analysis/accounting experience; BIG 4 public accounting experience and fund accounting experience is a plusDemonstrated knowledge of GAAP as it relates to the asset management industry (IFRS knowledge is a plus)Demonstrated ability to manage financial reporting as it relates to a portfolio of loans/originated loans is preferableDemonstration of strong mathematical, analytical, and problem-solving skillsExcellent verbal, written and interpersonal communication skills, including relationship managementDemonstrated organizational and time management skillsDemonstrated ability to work independently, with little supervision in a fast-paced environmentDemonstrated ability to meet established deadlinesDemonstrated flexibility to accommodate changing prioritiesDemonstrated understanding, knowledge of, and experience reading and interpreting contracts is a plusDemonstrated understanding of investment products, alternative investments and securities operations is a plusDemonstrated proficiency with Microsoft Office, including specific expertise with Word and ExcelCompensation depends on experience and education: $115,000 - $125,000
Languages
- English
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