Controller, Accounting, Financial Reporting
Job in
Dallas, Dallas County, Texas, 75215, USA
Listed on 2026-10-08
Listing for:
Dagen Personnel LLC
Full Time
position Listed on 2026-10-08
Job specializations:
-
Accounting
Financial Reporting, Financial Compliance, Accounting & Finance, Financial Controller -
Finance & Banking
Financial Reporting, Financial Compliance, Accounting & Finance, Financial Controller
Job Description & How to Apply Below
Controller
Location:
Dallas | Full-Time
The firm is seeking a highly capable and hands-on Controller to lead and strengthen the Firm’s accounting, portfolio accounting, and operational finance functions. This is a high-impact role with meaningful exposure to fund operations, accounting, prime brokerage relationships, investor reporting, tax coordination, and management-company finance.
The successful candidate will have significant responsibility and visibility within a growing investment firm, along with a clear path toward broader finance leadership and, potentially, a CFO role.
Key Responsibilities- Perform shadow accounting for the funds and SMA, including validating monthly NAV calculations, P&L, fees, expenses, and allocations.
- Work closely with fund administrators and prime brokers to ensure accurate and timely transaction processing.
- Monitor portfolio positions, trade allocations, and operational control breaks; investigate and escalation discrepancies promptly.
- Provide backup support to the Operations team with daily trade, cash, and position reconciliations across prime brokers, custodians, administrators, and internal systems.
- Maintain the management company’s general ledger, balance sheet, and income statement in Quick Books.
- Support the month-end close process, including accruals, expense allocations, reconciliations, and management reporting.
- Coordinate with the Firm’s tax advisors on K-1s, tax reporting, partner matters, and other tax-related requirements.
- Prepare cash forecasts and oversee the reconciliation and recording of cash activity.
- Review, approve, process, and record accounts payable, vendor invoices, and other Firm expenses.
- Prepare periodic investor reporting and support investor-relations and marketing initiatives, including pitchbooks, due diligence materials, and client presentations.
- Help improve the Firm’s accounting, reporting, and operational processes as the business grows.
- Lead or support special projects involving finance, operations, technology, tax, vendors, and Firm infrastructure.
- CPA strongly preferred.
- At least seven years of relevant experience in accounting, fund administration, asset management, or a related financial-services environment.
- Experience with hedge funds, private funds, SMAs, multi-prime-broker platforms, or investment managers preferred.
- Advanced Excel skills and strong proficiency in Word, PowerPoint, Outlook, and Quick Books.
- Experience with Enfusion is a plus.
- Strong understanding of reconciliations, NAV processes, financial statements, cash management, and operational controls.
- Excellent organizational, analytical, and communication skills.
- Highly detail-oriented, resourceful, and capable of managing multiple priorities independently.
- Demonstrated ownership, sound judgment, and a willingness to work across functions.
- Ability to handle confidential and sensitive information with discretion and professionalism.
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