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Credit Accounting Manager

Job in New York, New York County, New York, 10261, USA
Listing for: Petrafundsgroup
Full Time position
Listed on 2026-08-31
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Analyst, Financial Compliance
  • Accounting
    Financial Reporting, Financial Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 130000 - 180000 USD Yearly USD 130000.00 180000.00 YEAR
Job Description & How to Apply Below
Location: New York

Petra Funds Group is a leading provider of comprehensive fund administration and infrastructure services for both private equity and debt funds. Our mission is to empower fund managers to concentrate on value-adding activities while entrusting us with their administrative and operational needs.

Our team comprises highly skilled professionals across the US and Europe, distinguished by our deep industry experience and commitment to accuracy and timeliness. Our reputation is built on trust, expertise, and meticulous attention to detail. We pride ourselves on our collaborative approach and relentless pursuit of excellence.

Petra’s credit operations compliments the fund administration offering and provides support to private credit managers of all sizes and strategies. This includes a flexible approach to credit middle office operations, loan agency and monitoring services, as well as other pre and post execution support.

About the Role:

We are looking for a Credit Accounting Manager to join our Client's team and own day-to-day accounting and financial reporting for the firm's credit and hybrid capital portfolio, working closely with the COO/CCO, external fund administrators, auditors, and the investment team. This is a hands-on role suited to a candidate who is comfortable operating with limited existing infrastructure and wants to help shape process and controls as the platform grows.

Our client is a private capital investment firm headquartered in New York that provides flexible, customized financing solutions to middle-market businesses. The firm invests across the capital structure through a hybrid strategy that blends private credit, structured equity, and special situations investing - including senior and junior debt, preferred and structured equity, and rescue or transition capital for founder-led and sponsor-backed companies navigating growth, liquidity, or ownership transitions.

The portfolio spans a range of industries and includes both control and non-control positions, with holding structures common to private credit and hybrid capital vehicles (SPVs, credit facilities, and fund-level co-investments).

Responsibilities:
  • Own the accounting and valuation process for a portfolio of private credit, structured equity, and special situations investments, including loan-level accounting (PIK, OID, amortization, prepayments, fee income).
  • Prepare and review monthly, quarterly, and annual financial statements and investor reporting packages in coordination with the third-party fund administrator.
  • Track and reconcile credit facility draws, borrowing base calculations, covenant compliance, and interest accruals across the portfolio.
  • Manage cash management, capital call and distribution processing, and treasury functions for fund and SPV entities.
  • Partner with the investment team on deal closings to ensure new investments are properly onboarded into accounting systems and records.
  • Coordinate the year-end audit process, including preparation of audit schedules, supporting documentation, and liaison with external auditors and tax preparers.
  • Support NAV calculations, management fee and carried interest computations, and waterfall mechanics in partnership with the administrator.
  • Assist in building and documenting scalable accounting processes, internal controls, and policies as the firm grows its AUM and investor base.
  • Respond to ad hoc investor due diligence requests and support quarterly investor reporting and capital account statements.
Qualifications:
  • Bachelor's degree in Accounting, Finance, or related field.
  • 5-8+ years of accounting experience, with direct exposure to private credit, direct lending, or hybrid capital fund structures.
  • Experience with loan-level accounting mechanics (PIK, OID, amortization schedules, unitranche/first lien-second lien structures).
  • Prior experience working with a fund administrator and coordinating year-end audits for private fund vehicles.
  • Strong Excel skills; experience with fund accounting or portfolio management systems (e.g., Investran, eFront, Allvue, or similar).
  • High attention to detail, strong organizational skills, and comfort operating in a lean, fast-paced, entrepreneurial environment.
  • Big Four or national accounting firm audit background with private funds or asset management clients.
  • Prior experience at a private credit manager, BDC, or hybrid capital/special situations platform.
  • Familiarity with capital call/distribution mechanics, waterfall structures, and management fee/carry calculations.
Salary Range:

At Petra Funds Group, we are committed to transparency and equity in our hiring practices. The compensation range for this position is $130,000 - $180,000 per year. This range represents the base salary only. Actual pay will depend on factors such as qualifications, experience, and skills.

How We Care

We believe people do their best work when they feel supported — personally and professionally. That’s why we offer a comprehensive benefits package that reflects our commitment to your…

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