Fund Solution Associate
Listed on 2026-06-10
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Finance & Banking
Financial Analyst, Financial Reporting -
Accounting
Financial Analyst, Financial Reporting
Firm Overview
Cambridge Associates (“CA”) is a leading global investment firm. CA’s goal is to help endowments & foundations, pension plans, and ultra‑high net worth private clients implement and manage custom investment portfolios that generate out performance so that they can maximize their impact on the world. Cambridge Associates delivers a range of services, including outsourced CIO, non‑discretionary portfolio management, and investment consulting. Headquartered in Boston, Massachusetts, CA has offices in key markets across North America, the United Kingdom, Europe, Asia, and Oceania.
Job Description SummaryWe are seeking a diligent, detail‑oriented Fund Accounting Associate to join our team. The role supports the accounting, financial reporting, NAV oversight, and audit coordination activities for a range of fund vehicles, including Single Investor Funds (SIFs), Single Manager Funds (SMFs), and other commingled structures across hedge funds, private equity, mutual funds, derivatives, and fund‑of‑funds products.
Key Responsibilities- Review and reconcile Net Asset Value (NAV), portfolio positions, capital call and distribution activity, fund expense accruals, and cash balances for a variety of fund vehicles.
- Identify, investigate, and help resolve discrepancies in accounting records, NAV packages, and financial reporting prepared by third‑party fund administrators.
- Review periodic and annual financial statements prepared by external fund administrators for accuracy, completeness, and compliance with applicable reporting standards and deadlines.
- Assist with the collection, preparation, and delivery of supporting documentation, reconciliations, and audit requests.
- Support regulatory and financial reporting requirements, including ensuring timely filings and maintaining organized records for audit and compliance purposes.
- Assist with quarterly reporting materials, including reports for investment teams, valuation committees, and other internal stakeholders.
- Monitor and manage cash activity and cash projections for fund vehicles, including capital calls from and distributions to investors.
- Review legal and governing documents, including Limited Partnership Agreements (LPAs) and Private Placement Memorandums (PPMs), to support accurate accounting, reporting, and compliance with fund terms.
- Liaise with fund administrators, auditors, and internal stakeholders to ensure clear communication, timely issue resolution, and efficient execution of fund operations.
- Monitor the performance of third‑party service providers and vendors, including adherence to service level expectations.
- Retain, organize, and maintain financial records and support documentation.
- Participate in ad‑hoc analyses and special projects designed to enhance efficiency, control environment, and scalability of fund accounting and reporting processes.
- Provide responsive, high‑quality support to internal and external stakeholders by addressing inquiries in a timely and professional manner.
- Bachelor’s degree in accounting, finance, or a related field, or equivalent relevant professional experience.
- 1‑2 years of experience in fund accounting, fund administration, audit, or financial reporting for private investment funds, hedge funds, private equity funds, mutual funds, investment companies, or fund‑of‑funds structures.
- Understanding of partnership accounting and closed‑end fund structures, including capital calls, distributions, and management fees.
- Strong analytical, organizational, and problem‑solving skills with excellent attention to detail.
- Ability to work independently while collaborating effectively across teams and with external service providers.
- Strong written and verbal communication skills.
- Ability to manage multiple priorities and meet deadlines in a fast‑paced, evolving environment.
- Team‑oriented approach with the ability to build effective working relationships across functions.
- Client‑service orientation and professionalism in stakeholder interactions.
- Advanced proficiency in Microsoft Excel, including lookups/reference formulas, and pivot tables.
- Proficiency in Microsoft Word.
- Experience with macros/VBA is a plus.
- Familiarity with Alteryx, Power BI, or other data analytics tools is a plus.
Pay Range Minimum: 70,200;
Pay Range Maximum: 91,300. In addition to the listed salary range, this position is eligible for an annual performance‑based bonus and a comprehensive, competitive benefits package.
The firm is committed to the concept and practice of equal employment opportunity and will not discriminate against any employee or applicant on the basis of race, color, religion, age, sex, national origin, sexual orientation, gender identity, disability, or veteran status. It is expected that all employees will follow a similar policy toward their co‑workers.
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