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Fund Controller Associate - Los Angeles Hybrid

Employer
Investment Firm
Location
Los Angeles, California
Salary
$ 110K to $ 145k Base plus bonus
Closing date
Aug 3, 2023

View more

Job Function
Accounting/Audit/Tax
Industry Sector
Asset Management
Employment Type
Full Time
Education
Bachelors

Investment firm in LA is growing and is adding an Associate Fund controller team and will support all aspects of the daily operations and financial reporting of the Credit and Real Estate daily traded 1940’ Act Interval Funds. The positions will be the first line of defense in oversight of the external service providers. Role is 3 days office and 2 days home.  Contact me at revi (at) wallstreetpersonnel (dot) com.

  • Day-to-day operations, assist in preparing the daily pricing model and review of the NAV calculation,
  • including cash and position reconciliation, custodian reconciliation, variance research and analysis, 40act and Fund compliance, wire facilitation, budgeting, revenue and expense analysis, review of monthly accruals, posting journal entries and approving and payment of expenses.
  • Financial Reporting, responsible for the completion of all audit inquiries, preparation and review of quarterly/annual financial statement analysis, including review of supporting files for the inclusion into the Funds SEC and marketing filings including review of Form N-CSR(S), N-CEN and NPORT filings prepared by the Fund administrator.
  • Quarterly board materials, preparation of the CFO materials including quarterly financial results, summary of valuation designee analysis and reports and various other summary and ad-hoc items.
  • Work closely with the front office, operations, client solutions, legal and compliance teams to ensure smooth operations of the day to day and timely fulfillment of routine and ad-hoc requests such as internal inquiries, external due diligence requests and other ad-hoc requests.

Qualifications & Experience

  • Minimum 3+ years of relevant work experience in public accounting / private funds / financial services.
  • CPA preferred but not required.
  • Strong U.S. GAAP and technical accounting skills and the ability to understand complex investment products. 
  • General understanding of the financial services industry and asset management business is preferred.
  • Outstanding computer skills and advanced knowledge of Excel.     
  • Ability to work in a team-oriented environment and interact efficiently and accurately with other team members and all levels of management.
  • Solid communications skills, both written and verbal.
  • Strong organizational skills including the ability to multi-task and prioritize workloads while maintaining adequate attention to detail.
  • A forward thinking, creative individual with high ethical standards.

Candidate must have an analytical, logical thought process for understanding issues and developing solutions

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