Fund Accountant & Asset Manager @ Vine Investment Partners
Listed on 2026-07-11
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Accounting
Financial Reporting, Financial Analyst -
Finance & Banking
Financial Reporting, Financial Analyst
Fund Accountant & Asset Manager
Vine is seeking a Fund Accountant & Asset Manager to join our team. This is a full-time, in-office position focused on accounting and fund reporting, with responsibility for managing asset management and compliance reporting across our tax credit funds and project subsidiaries.
Key responsibilities include:
- Prepare and maintain accounting records for multiple funds and subsidiary entities
- Review project-level operating and financial reports; assess compliance with partnership agreement requirements
- Identify, track and escalate asset-level risks (underperformance, collections, sponsor credit concerns)
- Maintain asset watchlist and prepare periodic portfolio performance summaries for management
- Manage quarterly and annual reporting requirements for fund investors
- Review and reconcile financial reports from guarantor entities, holding companies, project companies and subsidiaries
- Track and monitor fund distributions, capital contributions, and cash flows
- Maintain investor records and reporting requirements; track and satisfy investor deliverables
- Monitor project company and fund performance against underwriting models, projects and budgets; flag material variances
- Prepare and distribute quarterly/annual investor reports, capital account statements, and tax credit delivery updates
- Serve as a point of contact for investor inquiries regarding fund performance, distributions, and reporting
- Support ad hoc accounting and analysis projects as needed
- Work in Microsoft Planner and Hub Spot to track reporting deadlines and project information
- Bachelor's degree in Accounting
- Minimum 5 years of accounting experience
- Strong knowledge of accounting principles and practices
- Proficiency with Excel
- Proficiency in Quick Books Online
- Familiar with Microsoft Office products
- Ability to manage multiple reporting deadlines and priorities
- Detail-oriented with strong organizational skills
- Willingness to learn
- Flexibility to expand responsibilities
- Self-starter mentality with ability to work independently
- Absolute commitment to confidentiality, as role involves sensitive company financials and information related to publicly traded companies
About Vine Investment Partners:
Vine Investment Partners is a tax credit fund manager based in Lafayette, Louisiana. We structure partnership flip transactions and coinvest alongside corporate investors to deploy federal tax credits and depreciation benefits from projects. We're a growing, lean team of self starters and motivated professionals looking to expand our accounting and operations capabilities.
Required qualifications:
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