Private Equity Fund Accountant
Job in
Vancouver, BC, Canada
Listed on 2026-06-09
Listing for:
Pinnacle Fund Services Ltd.
Full Time
position Listed on 2026-06-09
Job specializations:
-
Finance & Banking
Financial Analyst, Financial Reporting, Accounting & Finance, Accounting Manager -
Accounting
Financial Analyst, Financial Reporting, Accounting & Finance, Accounting Manager
Job Description & How to Apply Below
Job description
As a Fund Accountant, you will be responsible for supporting the NAV production process for a private equity client portfolio working closely with Senior Fund Accountants and Management. As part of the Private Equity Team, you will work with close‑ended Funds specializing in private equity, private debt, real estate and venture capital.
We are looking for proactive team players with a strong work ethic to join our growing entrepreneurial company. Candidates with prior experience in Fund Administration or the fund industry will find this role particularly appealing as it presents a significant opportunity for career advancement with Fund Administration. This position offers an exciting pathway for professional development.
Responsibilities
Assisting with the preparation of net asset value calculations on a timely basis, which includes:
Recording capital activity such as capital calls & distributions
Recording cash activity and performing cash reconciliations
Pricing portfolios in accordance with funds’ offering documents
Ensuring fund income and expenses, including management and performance fees, are accrued for and are in accordance with relevant accounting standards
Preparing Investor Statements and contract notes
Supporting preparation of financial statements
Supporting year‑end audit and tax reporting requests
Supporting responses to ad‑hoc reporting requests as required by clients
Process cash transactions – including but not limited to posting of GL entries, investment purchases/sales and corporate actions.
Review of investment supporting documentation to ensure accuracy of booking
Refresh NAV Workbook after each cash transaction and resolve any discrepancies.
Prepare and reconcile income and expense accruals, including calculating admin fees, management fees and carried interest in line with relevant accounting standards.
Refresh Financial Statements and resolve any discrepancies.
Upload Fund Pricing schedules
Run NAV reporting packages
Refresh Tax & AWP workbooks
Enter Capital calls & distributions
Prepare investor notices
Interacting with clients – assisting with any questions, ad hoc requests and providing support
Assisting in year‑end Audits and liaising with Audit and Tax providers
Coordinating with Investor Services team on counterparts update, investor/client requests
Collaborate with internal and external parties to meet client requirements and address investor inquiries
Updating Wrike daily to ensure status of work is up to date to ensure deadlines are met
Support in SOC Audit and providing supporting documentation for samples
Documenting procedures on funds
Preparing sub‑close calculations including equalization and equalization interest on an investor per investor basis.
Provide Cash Management Services for distribution and any fund expenses
Perform Waterfall/carried interest calculations.
Desired skills and experience
Prior fund accounting experience is desired, but not required
Understanding of closed‑ended funds is desired, but not required
Accounting designation desired but not required
Strong knowledge of Microsoft Excel
Solid interpersonal and communication skills
Strong organizational skills
Ability to handle multiple demands, competing priorities, and constant change
Ability to allocate time effectively and manage tight deadlines
Prior experience with PFS‑Paxus is desired, but not required
Ability to manage own time and workload effectively ensuring both internal and external deadlines are met
Why Pinnacle Fund Services?
At Pinnacle Fund Services, we’re committed to providing our employees with a comprehensive benefits package that supports their health, well‑being,…
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