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Client Accountant - Seattle

Job in Seattle, King County, Washington, 98127, USA
Listing for: AlTi Tiedemann Global
Full Time position
Listed on 2026-09-25
Job specializations:
  • Accounting
    Financial Reporting, Accounting & Finance, Accounting Manager, Financial Analyst
  • Finance & Banking
    Financial Reporting, Accounting & Finance, Accounting Manager, Financial Analyst
Salary/Wage Range or Industry Benchmark: 75000 - 90000 USD Yearly USD 75000.00 90000.00 YEAR
Job Description & How to Apply Below

Client Accountant - Seattle

Department: Client Advisory

Employment Type: Full Time

Location: Seattle

Compensation: $75,000 - $90,000 / year

Description

AlTi Tiedemann Global (“AlTi”) is a NASDAQ listed global wealth and investment advisory firm partnering with the world’s most discerning and dynamic families, business owners, trusts, foundations, and endowments. The firm manages or advises on approximately $89 billion in combined assets and has an extensive network of c.450 professionals across three continents.

At AlTi, performance excellence is the baseline. While some firms only manage portfolios, we steward families, fiduciaries and institutions through creation, transition, and evolution. Because when wealth is managed with clarity of purpose, it doesn’t just grow, it resonates. Guiding generations. Driving outcomes. Changing lives.

We help our clients align ambition with assets, bring structure to complexity, and plan with purpose across generations. We combine the breadth of a global firm with the service offering of a family office to deliver solutions designed to meet the full complexity of wealth and capital.

Our close partnership with clients means that culture is not an accessory to our business. It’s the foundation of our success. We believe this builds tighter teams, integrated and comprehensive advice, longer tenures, and better outcomes. We collaborate with and challenge each other, and our entrepreneurial culture supports the unique qualities of each team member.

As a growing global firm with offices in 19 major financial centers, we are looking for talented individuals to expand our team. If you’re committed to making wealth worth more through enduring partnership, we want you to join us.

To learn more visit

We are looking for a Client Accountant with nonprofit and private foundation accounting experience who will work to provide high level service and support to both our clients and wealth management teams. As a valued member of the Firm’s Family Office Services Team, this role will directly support team members by processing the general client cash and accounting activity as well as support the Client Service Team with account related administration.

Responsibilities include preparing month-end and year-end closings and periodic financial reporting, coordinating bill payment with the Client Accounting Analyst, accounting for nonprofit organizations, private foundations, and related entities, reconciling investment and endowment accounts, tracking restricted and unrestricted funds, and maintaining accurate books and records. The ideal candidate will enjoy setting aggressive goals, thrive in a fast-moving environment and take ownership of delivering accurate, compliant and timely results.

Job Responsibilities
  • Maintain personal accounts and financial records for nonprofit organizations and private foundations
  • Prepare vouchers, invoices, checks, account statements, grant documentation, financial reports and other records and review for accuracy
  • Request and document required approvals in a timely and professional manner for invoices, grant payments, and other disbursements in accordance with internal control policies
  • Ensure timely routing and review of invoices to accounts payable processing
  • Monitor client cash balance and ensure adequate liquidity for operating expenses, grants, and program disbursements
  • Record and verify nonprofit, trust, and foundation transactions, including contributions received, grants awarded, program expenses, and asset transfers
  • Perform regular balance sheet reconciliations and fund-level reconciliations based on client or organizational requirements
  • Consistently meet processing, reporting and regulatory deadlines
  • Reconcile aggregated data to general ledgers,…
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