What are the responsibilities and job description for the Senior Fund Accountant - Private Equity position at Leeds Professional Resources?
Exciting opportunity to join an established and growing PE firm headquartered here in Miami.
Strong upside for career growth and great work culture.
Key Responsibilities:
- Work closely with the Fund Controller
- Calculate NAV reporting
- Review of month end close packages from the administrator along with preparing and overseeing the completion of internal shadow allocations and expense accruals.
- Work closely with Operations team to assist in month end reconciliations with the administrator
- Support IR team on ad hoc and monthly investor requests, DDQ responses.
- Work closely with General Counsel on the review of fund and investor documents
- Coordinate the accounting aspects of new fund launches, including participating in the fund structuring and account opening process as well as both internal meetings and investor calls throughout the launch
- Coordinate with the Management Company Accountants on management fee and incentive forecasts
- Review of audited financials and fund tax preparation (K-1, Federal State filings)
- Other duties as assigned
Requirements:
- Bachelors degree
- 2-3 years of fund accounting experience
- Excellent attention to detail