Manager of Fund Accounting

Manager-Fund Accounting

Livingston, NJ-Hybrid schedule (three days onsite)

Monday to Friday 9:00 a.m. to 6:00 p.m.

Some of the things you will be doing:

The Manager will manage multiple client relationships ensuring superior client service with their client service team members.

Deliverables include fund administration services provided to private equity funds such as:

  • Review accounting records, financial statements, and support schedules (GAAP & OCBOA)
  • Review SBA compliance reporting, including SBA Form 468 preparation
  • Review capital call & distribution calculations and letters
  • Review waterfalls and partner capital account statements
  • Coordinate deliverables with Investor Services team
  • Career development, supervision, and training of staff
  • Daily client and team member interaction
  • Internal responsibilities (filing, status reports, time tracking, etc.

What Technical Skills, Experience, and Qualifications do you need?

  • BS Degree in Accounting - CPA or CPA candidate preferred
  • Experience in portfolio/investment and partnership accounting required, Private Equity accounting experience required
  • Working knowledge of US GAAP
  • Advanced Excel skills (VLOOKUP, SUMIF, IF/THEN, XIRR, SUBTOTAL, ROUND, named ranges)
  • Investran experience preferred
  • Able to multitask and perform tasks under strict deadlines
  • Experience delegating, training and supervising staff
  • Experience managing client relationships
  • Professional verbal and written communication skills
  • Attention to detail and strong organizational skills

At CSC, compensation depends on several factors, including job location and the knowledge and experience of each individual. A reasonable estimate of the current range is $125,000 to $140,000.

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