Private Credit Fund Accounting, Vice President
Job in
New York, New York County, New York, 10261, USA
Listed on 2026-07-23
Listing for:
Blue Owl Capital Inc.
Full Time
position Listed on 2026-07-23
Job specializations:
-
Accounting
Financial Reporting, Financial Compliance, Accounting Manager, Financial Controller -
Finance & Banking
Financial Reporting, Financial Compliance, Accounting Manager, Financial Controller
Job Description & How to Apply Below
Private Credit Fund Accounting, Vice President Skip to main content#Private Credit Fund Accounting, Vice President page is loaded## Private Credit Fund Accounting, Vice President Apply locations:
New York City, NYtime type:
Full time posted on:
Posted 30+ Days Agojob requisition :
R-102098
Blue Owl (NYSE: OWL) is a leading asset manager that is redefining alternatives.
With over $315 billion in assets under management as of March 31, 2026, we invest across three multi-strategy platforms:
Credit, Real Assets and GP Strategic Capital. Anchored by a strong permanent capital base, we provide businesses with private capital solutions to drive long-term growth and offer institutional investors, individual investors, and insurance companies differentiated alternative investment opportunities that aim to deliver strong performance, risk-adjusted returns, and capital preservation.
Together with over 1,390 experienced professionals globally, Blue Owl brings the vision and discipline to create the exceptional. To learn more, visit
** The Role
** Blue Owl is seeking a Private Credit Fund Accounting, Vice President that will oversee all aspects of fund accounting, financial reporting, and close processes for a portfolio of private credit funds. This role is responsible for ensuring accurate NAVs, high‐quality financial statements, and timely investor reporting, while maintaining strong controls and compliance with U.S. GAAP and fund governing documents.
The position serves as a senior accounting partner to internal stakeholders and external service providers, including fund administrators, auditors, valuation firms, and tax advisors. In addition to managing monthly and quarterly close processes, the role plays a key part in audit and tax coordination, investor reporting support, and new fund launches or structural changes.
** Responsibilities
* ** Fund Accounting & Financial Close + Oversee the monthly and quarterly close processes for private credit funds, including NAV calculations, income and expense allocations, fee and carry calculations, and capital activity. + Review and approve fund financial statements, supporting schedules, and work papers prepared internally or by third party fund administrators. + Ensure accurate accounting for private credit investments, including loans, structured credit, revolvers, PIK income, and related valuation considerations.
+ Maintain oversight of general ledger activity, reconciliations, and variance analysis to ensure completeness and accuracy.
* Financial Reporting & Investor Deliverables + Oversee the preparation and review of quarterly and annual fund financial statements in accordance with U.S. GAAP (ASC 946). + Ensure timely and accurate delivery of investor capital account statements, financial highlights, and related investor reporting. + Partner with Investor Relations to support investor inquiries by providing technical accounting explanations and financial data as needed.
* Audit, Tax & Compliance Support + Serve as the primary accounting contact for external auditors, managing audit timelines, deliverables, and issue resolution. + Coordinate with internal and external tax teams to support the preparation of K 1s and other tax reporting obligations. + Ensure compliance with fund governing documents, accounting policies, and internal controls. + Participate in SOX type control activities, including documentation, testing support, and remediation efforts as needed.
+ Service Provider & Stakeholder Management + Manage relationships with third party fund administrators, custodians, valuation providers, and auditors to maintain service quality and accountability. + Act as a key accounting partner to internal Investment, Treasury, Risk, Legal, and Operations teams. + Support new fund launches, restructurings, and amendments from an accounting and operational perspective.
** Qualifications
* ** Bachelor’s degree in Accounting, Finance, or a related field; CPA strongly preferred.
* 6–12 years of relevant experience in private credit fund accounting, alternative asset management, public accounting, or fund administration.
* Strong knowledge of U.S. GAAP as it…
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