Director, PEP/SLS Fund Accounting, PFS - Princeton, NJ
Job in
Princeton, Mercer County, New Jersey, 08544, USA
Listed on 2026-07-27
Listing for:
BlackRock
Full Time
position Listed on 2026-07-27
Job specializations:
-
Finance & Banking
Financial Reporting, Corporate Finance, Financial Compliance, Financial Analyst -
Accounting
Financial Reporting, Financial Compliance, Financial Analyst
Job Description & How to Apply Below
* ** Company Description*
* HPS Investment Partners, a part of Black Rock, is a leading global, credit-focused alternative investment manager that seeks to provide creative capital solutions and generate attractive risk-adjusted returns for our clients. We manage various strategies across the capital structure, including privately negotiated senior debt; privately negotiated junior capital solutions in debt, preferred and equity formats; liquid credit including syndicated leveraged loans, collateralized loan obligations and high yield bonds;
asset-based finance and real estate. The scale and breadth of our platform offers the flexibility to invest in companies large and small, through standard or customized solutions. At our core, we share a common thread of intellectual rigor and discipline that enables us to create value for our clients.
HPS was established in 2007 as a unit of Highbridge Capital Management, LLC ("HCM"), a subsidiary of JPMorgan Asset Management ("JPMAM"). On March 31, 2016, the senior executives of HPS acquired HPS and its subsidiaries from JPMAM and HCM (the "Transaction". [i] Following the Transaction, JPMAM retained a passive minority investment in HPS, which was subsequently redeemed in April 2022. In June 2018, affiliates of Dyal Capital Partners made a passive minority investment in HPS.
In February 2022, an affiliate of The Guardian Life Insurance Company of America made a passive minority investment in HPS, which was subsequently increased in August 2024. On July 1, 2025, Black Rock acquired the business and assets of HPS, with 100% of consideration paid in Black Rock equity (the "HPS/Black Rock Transaction").
The HPS/Black Rock Transaction brings together Black Rock's corporate and asset owner relationships with HPS's diversified origination and capital flexibility. Black Rock and HPS have formed a new private financing solutions business unit ("PFS") led by Scott Kapnick, Scot French, and Michael Patterson, creating an integrated franchise with approximately $370 billion in client assets, including $205 billion of private credit assets.
[ii] This combined platform, which has more than 590 investment professionals and approximately 1,300 employees globally, [iii] offers broad capabilities across senior and junior credit solutions, asset-based finance, real estate, CLOs and GP-LP solutions. As part of the HPS/Black Rock Transaction, Scott Kapnick, Scot French, and Michael Patterson have joined Black Rock's Global Executive Committee, and Scott Kapnick has been appointed as an observer to the Black Rock Board.
** Department Description*
* The Fund Accounting team's primary responsibility is the books and records of the funds. This responsibility includes oversight, review and reconciliation of the books and records with internal teams including Middle Office, Cash Management, and Asset Management / Valuation as well as with external, third-party fund administrators. This responsibility includes NAV calculation and review, management and performance fees, expense review and management and capital calls and distributions.
In addition to the core books and records, Fund Accounting works closely with Legal on fund setup and operation, with Product Specialist and Investor Relations on ongoing and ad hoc analysis and with Management Company Accounting on AUM, performance and fee reporting and revenue recognition.
** Position Description*
* Black Rock's Private Financing Solutions division ("PFS) is seeking to recruit a Director level candidate (dependent on experience) to join the PEP/SLS Fund Accounting team based in Princeton, NJ. The Fund Accounting VP/Director performs an integral role within the Fund Accounting team, managing a group of Fund Accounting Analysts and Associates with collective responsibility for review and reconciliation of the funds' books and records.
The Fund Accounting VP/Director will be involved in the closing of the books including NAV review and reconciliation, financial statement and disclosure preparation, financial statement review, fee calculations and partners' capital statement review among other responsibilities. …
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