Assistant Fund Controller
Company: Arche
Location: Los Angeles
Posted on: November 16, 2024
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Job Description:
Assistant Fund Controller - Investment Accounting & Reporting
Solutions #201287
JOB DESCRIPTION
Responsible for the day-to-day accounting support functions for an
assigned group of complex funds while working under minimal
supervision.Performs accounting and reporting including set up and
accounting for complex multi-tier investment entities. Prepares
monthly, quarterly and annual portfolio level consolidated
financial statements and other client reporting. Responsible for
oversight of fund level reporting and coordination of client equity
contributions and distributions. Locations: Los Angeles, CA,
Dallas, TX or Minneapolis, MNESSENTIAL DUTIES AND RESPONSIBILITIES
Performs intensive review of monthly property level
reports.Produces fund financial statements and other required
financial information including but not limited to investor funded
and unfunded commitments, asset accrual methodology and output.
Maintains shareholder registries. Prepares periodic financial
statements and assists with audit and tax preparation and audit
review.Prepares investment and positions reconciliations and daily
reconciliation of cash balances. Performs periodic asset payment,
cash and corporate action reconciliations. Posts journal entries
and money-movement transactions. Ensures all fund transactions are
properly posted to accounting system. Prepares and reconciles daily
trial balances for assigned funds.Updates and monitors daily
trading, general ledger activity and pricing of funds to ensure
accuracy of daily NAV calculation. Prepares, analyzes and review
periodic NAV calculations. Participates in special projects
including new fund set-up and fund closure.Prepares investor
capital call/distribution notices. Prepares IRR and performance
reporting models. Assists with security master and reporting
set-up. Assists in the implementation and maintenance of the
accounting systems. Performs other duties as assigned.Ability to
comprehend, analyze, and interpret complex documents. Ability to
solve problems involving several options in situations. Requires
intermediate analytical and quantitative skills.EDUCATION and
EXPERIENCE Degree from a four-year college or university program
with an emphasis in accounting, finance or related field required.
A minimum of five years accounting experience or equivalent
combination of education and experience required. Prior experience
in fund level accounting preferred with real estate accounting or
fund accounting software systems.CERTIFICATES and/or LICENSES CPA,
CMA or other relevant professional certifications a plus.FINANCIAL
KNOWLEDGE Requires intermediate knowledge of Generally Accepted
Accounting Principles (GAAP) and Financial Accounting Standards
Board (FASB) regulations including an intermediate knowledge of
financial terms and principles to include accounting methods (cash,
accrual, and full GAAP). Ability to calculate intermediate figures
such as percentages, discounts, and/or commissions. Conducts
intermediate financial analysis.Equal Opportunity Employer
Genesis Management Consulting Global is an Equal
Opportunity-Affirmative Action Employer. As a company we promote
and are committed to equal employment opportunities for all
regardless of the persons gender, race, color, religion, ancestry,
sex, age, national origin, marital status, sexual orientation,
disability, Veteran status, or gender identity. If you have special
needs or a disability which requires our accommodation, please make
us aware when applying.
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Keywords: Arche, Lynwood , Assistant Fund Controller, Accounting, Auditing , Los Angeles, California
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