
Associate Vice President, Fund Accounting
Ares Wealth Management Solutions
- Los Angeles, CA
- $160,000-180,000 per year
- Permanent
- Full-time
- Day-to-day hands-on responsibility and execution of fund operations and fund reporting
- Fund structures may include fund-of-fund structures, joint ventures, closed-ended and open-ended structures, domiciled in various countries including the U.S., Cayman Islands, Luxembourg and Netherlands
- Assist in managing overall fund liquidity, including daily cash review and projections, investor capital calls and distributions, and day-to-day management of cash movement with banks in accordance with legal, tax and other governing documents
- Detailed, timely and insightful review of monthly/quarterly NAV reconciliations with third-party fund administrator(s) and coordination with external auditors with minimal oversight
- Review of quarterly and annual GAAP financial statements and footnote disclosures for multiple funds
- Proactive operational coordination with investment operations teams and other operational stakeholders
- Processing and monitoring of expense payments and processes, including establishing a budget, and the approval and payment of expenses and related wires in compliance with fund governing documents and firm policy
- Responsible for quality and timely information provided to the tax team for quarterly tax estimates and annual tax returns
- Compile data for, complete and/or review regulatory compliance filings, including Form ADV, Form PF, AIFMD Filings, Form SLT, etc.
- Ongoing support for investor inquiries including compilation of monthly and quarterly custom deliverables to investors and/or other stakeholders
- Acquire strong understanding of legal governing documents and tax structure so as to comply and monitor fund operations accordingly
- Actively contribute to team objectives, including continuous improvements for efficiency, standardization and documentation of processes from risk-based perspective, and proactively seeking automated solutions for repetitive processes.
- Cultivate strong working relationship and collaborate closely with Investor Relations counterparts
- Bachelor’s Degree required
- Licensed CPA (active or inactive) preferred
- 6+ yrs relevant industry experience (preferably some experience with Asset manager(s))
- Audit background at Big 4 accounting firm preferred
- Broad investment accounting experience across alternatives strategies (ie: credit, private equity, real assets and partnership interests)
- Broad fund structure exposure, in particular closed-ended funds and fund-of-funds structures
- Strong proficiency in Microsoft Excel required
- Familiarity with systems such as Geneva and Power BI highly desirable
- High level of commitment, work-ethic, dependability, accountability, curiosity and self-awareness
- Positive team player with mature interpersonal skills
- Strong problem-solving and analytical skills, high attention to detail, strong organizational skills, demonstrates resourcefulness and ability to produce quality deliverables with high accuracy
- Ability to take initiative and see tasks through to completion
- Excellent verbal and written skills; ability to analyze and summarize complex information
- Ability to balance multiple tasks and be flexible with shifting or competing priorities, and successfully collaborate with team members in various regions and time zones
- Ability to thrive in a fast-paced, high growth environment