Private Equity Fund Accountant
Job in
New York, New York County, New York, 10002, USA
Listed on 2026-10-08
Listing for:
Robert Half
Full Time
position Listed on 2026-10-08
Job specializations:
-
Accounting
Financial Reporting, Financial Compliance, Financial Analyst
Job Description & How to Apply Below
Robert Half Financial Services are hiring for a Private Equity Fund Accountant role for a global Investment firm located in midtown Manhattan New York. Our client requires 2+ years Fund Accounting experience within Private Equity, Private Credit, Fund Administration or Big4/Public covering Asset Management or REIT clients. CPA license or parts passed is highly desirable, must have knowledge of NAV, Capital Calls, Waterfalls, GAAP, Financial Statement review, Reconciliations and Audit/Tax support.
The role requires 5 days per week in the midtown Manhattan office.
Responsibilities:
Maintain and oversee the accounting and reporting processes for private equity, private credit, and open-ended fund structures.
Review and validate monthly, quarterly, and annual fund accounting packages prepared internally and by external fund administrators.
Prepare and review NAV calculations and supporting work papers.
Review fund and partnership allocations, including investor-level activity and capital account balances.
Assist in the preparation and review of quarterly and annual financial statements in accordance with U.S. GAAP and other applicable reporting standards.
Support the accounting and reporting of fund-related legal entities, SPVs, and investment vehicles.
Prepare and review capital call and distribution calculations and related investor notices.
Assist with management fee calculations and related reporting.
Prepare and review carried interest and waterfall calculations across multiple fund structures.
Support quarterly investor reporting and ad hoc investor information requests.
Coordinate with Investor Relations and other internal stakeholders to ensure timely delivery of investor materials.
Serve as a primary point of contact for external fund administrators.
Review fund administrator deliverables for completeness, accuracy, and adherence to governing documents.
Identify and resolve accounting, reporting, and operational discrepancies.
Drive process improvements and help establish scalable controls and procedures across the fund platform.
Coordinate annual audits and serve as a key liaison with external auditors.
Prepare audit support schedules and respond to information requests.
Coordinate with external tax advisors and administrators regarding partnership tax reporting and K-1 preparation.
Assist with the implementation of new accounting policies and regulatory reporting requirements as needed.
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