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Senior Fund Accountant – Private Equity​/Venture Capital

Job in Watertown, Middlesex County, Massachusetts, 02472, USA
Listing for: Dynamo Software
Full Time position
Listed on 2026-07-25
Job specializations:
  • Accounting
    Financial Reporting, Financial Analyst, Tax Accountant
  • Finance & Banking
    Financial Reporting, Financial Analyst, Tax Accountant
Salary/Wage Range or Industry Benchmark: 80000 - 105000 USD Yearly USD 80000.00 105000.00 YEAR
Job Description & How to Apply Below
Position: Senior Fund Accountant – Private Equity / Venture Capital

Dynamo Software is a leading global Fin Tech Research and Portfolio Management SaaS provider offering an industry-tailored, highly configurable SaaS platform solving challenges across the alternative investment landscape. For more than 20 years, the Dynamo™ platform has improved the productivity of fundraising, deal, research, investor servicing, portfolio management, and compliance teams worldwide. Collectively, Dynamo’s 1,000+ clients manage over $10 trillion in assets.

Backed by the largest Private Equity firms in the world –Blackstone Growthand Francisco Partners, Dynamo is seeking to grow our team based on rapidly increasing demand for our financial technology solutions.

The Company’s proprietary Dynamo Accounting™ software provides easy access to all firm information from one intuitive interface, handles complex fund structures and economic arrangements, and provides best of breed reporting. Dynamo Software’s experienced team of accounting professionals offers a full range of implementation and outsourcing services tailored to each client’s needs and budget. Clients include venture, buy-out, fund of funds, SBICs, family offices and other private equity firms with assets under management ranging from under $200 million to multi-billion.

Although we operate as a unified team, our Dynamo Accounting team effectively has two practices:

  • Dynamo Accounting licensing and related implementation & support services
  • Outsourced Accounting and Reporting Services
Role Overview :

This position is within the Outsourced Accounting and Reporting Services practice (the “Outsourcing Practice”) and reports to a Fund Controller or Senior Manager within our Outsourcing Practice. The Outsourcing Practice focuses on private equity and provides customized bundles of accounting and reporting services to our clients, which include, but are not limited to, entry of all accounting transactions and related recordkeeping;

preparation and e-delivery of quarterly unaudited financial statements and investor reports; preparation and e-delivery of investor capital calls and distributions; coordination of annual audits, including drafting the footnotes to the audited financials; coordination of annual partnership income tax returns and e-delivery of Schedule K-1s to investors; maintenance of clients’ online investor portals; responding to ad hoc questions from clients and their investors;

administering the treasury function including lines of credit.

What You’ll Do (Day-to-Day):
  • Monitor cash transactional activity and assure that related accounting entries are accurate, timely, and consistently recorded. Prepare monthly/weekly bank reconciliations, as appropriate.
  • Assist with the quarterly closing process, including gathering and confirming NAV statements from underlying investment partnerships for fund of funds clients. Publish preliminary financial and investor reports and perform initial checks and formatting thereof. Upon receipt of client approvals, assemble final reports and distribute using appropriate means for each client (either email mail merge or portal or both).
  • Publish and perform an initial review of periodic client reports, such as weekly reports and notices.
  • Assist with capital call and distribution processing, including issuing mail merge notices to client investors and processing capital call receipts.
  • Manage client investor portals and related requests from client investors.
  • Assist with preparation of work papers in support of the annual audit of client records, including coordinating all investment and other confirmation requests.
  • Assist with the coordination of work papers in support of annual partnership income tax returns and Schedule K-1s. Assist incompiling K-1 header information for a tax preparer, responding to tax preparer requests for additional information, and the electronic delivery of K-1s
  • Assist with ad hoc requests for additional research and analysis.
What you bring:
  • Minimum of Bachelor’s degree in accounting
  • 2-4 years of experience in fund accounting
  • CPA (strongly preferred)
  • Experience in private equity or partnership investment accounting (strongly preferred)
  • Technical interest/ aptitude, including strong…
Position Requirements
10+ Years work experience
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