
Fund Controller – Hedge Funds
- New York City, NY
- Permanent
- Full-time
- Serve as lead Finance team member for new product launches. This includes responsibility for the set-up and operations of complex evergreen fund structures.
- Manage the monthly NAV close process performed by the Fund Administrator with a focus on complex/illiquid assets accounting and valuation, fee and expense review and performance reporting.
- Design control procedures targeted by fund to achieve accurate and timely financial accounting and reporting and implement the performance of these procedures by a third party through a Managed Service Arrangement. Perform high-level and analytical reviews of a complex data set.
- Manage and develop a junior finance team member. Set objectives, measure performance and develop their contributions to the team.
- Oversee and control for accurate output of fund treasury and expense processing team, as well as liquidity analysis, by performing review and approvals.
- Communicate effectively with the Fund Administrator and other stakeholders to identify and solve issues.
- Contribute to the management and oversight the Fund Administrator through SLAs/KPIs and site visits.
- Oversee the external audit, regulatory reporting and other financial reporting requirements.
- Oversee the completion of various regulatory, debt covenant compliance, and other reporting requirements.
- Own the financial information for key client deliverables (investor reports, capital statements and annual audited financial statements).
- Utilize internal and external resources to respond to client, prospective client, and client consultant requests for information in a timely and accurate manner
- Lead the coordination and project management of various Alternative Funds Finance team projects and initiatives.
- Target range of 7-10 years of experience in financial accounting, audit or finance function for an alternative investment manager with exposure to credit, real estate, private equity funds or hedge funds
- Ability to implement accounting and reporting for investment structures for different asset classes
- Desire to understand transaction process flows and requirements and develop processes to solve complexities as they arise
- Exposure to private equity and hedge fund structures
- Experience with external audit processes and procedures
- Knowledge of accounting principles including US GAAP and Investment Company Accounting
- Bachelor’s degree with a major in Accounting or Finance
- Active or Desired CPA license
- Ability to work in a fast paced, deadline driven environment
- Good quantitative/analytical and problem solving skills
- Highly organized, proficient at time management / project management
- Keen desire to learn and quickly absorbs new knowledge
- Excellent written /verbal communication skills
- Balance a sharp focus on details with an awareness of the bigger picture
- Foster a sense of teamwork, assisting others when needed /require