
at J.P. Morgan
Bulge Bracket Investment BanksPosted 11 days ago
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**Vice President, Alternative Fund Services** in Boston, MA: Lead a Fund Accounting team, ensuring client deadlines and internal controls are met. Key responsibilities include fund, share class, and investor allocations, Net Asset Value (NAV) files, and issue resolution. A minimum of 10 years of accounting experience, preferably in Big 4 and fund accounting, is required, along with a strong understanding of hedge fund/private equity environments. Excellent communication and strategic thinking skills are essential, with a proven track record and the ability to manage budgets and cross training plans. Experience with Investran or similar systems, and familiarity with private equity concepts are a plus.
- Compensation
- Not specified USD
- City
- Boston
- Country
- United States
Currency: $ (USD)
Full Job Description
Location: Boston, MA, United States
Posting Description
J.P. Morgans Corporate & Investment Bank is a global leader across investment banking, wholesale payments, markets and securities services. The worlds most important corporations, governments and institutions entrust us with their business in more than 100 countries. With $29 trillion of assets under custody and $650 billion in deposits, the Corporate & Investment Bank provides strategic advice, raises capital, manages risk and extend liquidity in markets around the world.
J.P. Morgan Alternative Fund Services (AFS) is part of the Securities Services business group in the Corporate & Investment Bank and is one of the largest fund and portfolio administration businesses in the industry, administering over $950 billion in assets globally. The business was launched in November 2005 through the commercialization of the finance and technology teams supporting J.P. Morgan's various private equity and real estate entities. Our AFS business has over 950 dedicated professionals with offices in Dublin, London, Luxembourg, New York, New Jersey, Boston, Bangalore, Guernsey, Hong Kong, Jersey, Singapore, Toronto and Sydney. We provide administration services to more than 150 clients across all alternative asset classes.
Position Responsibilities
Manage a Fund Accounting team and ensure client deadlines are met and work executed in accordance with internal controls
- Prepare/Review of fund, share class, and investor allocations including calculations of management and performance fees/carry
- Prepare/Review Net Asset Value Files & Daily Profit & Loss
Interpret fund agreements to determine impact on fund set-ups, financial reporting requirements and NAV reporting
Maintain thorough knowledge of client base and industry standards (i.e., accounting, tax and legal) to serve and communicate with clients most effectively
Serve as senior client escalation; anticipate and proactively communicate resolution of issues to clients
Assist with/lead training initiatives. Manage team capacity, budgets and cross training plans.
Lead and work on special projects, new client/fund onboardings & internal investment initiatives
- Streamline operational processes to reduce risk and improve efficiency
Required qualifications, capabilities, and skills
- Minimum 10 years of accounting experience, preferably including Public Big 4 and partnership or hedge/private equity fund accounting
- Thorough knowledge of the hedge/PE Fund environments including accounting for investor allocations, share classes, and complex investment and securities processing
- Bachelors degree in Accounting, Economics or Finance preferred
- Must be innovative and analytical, with excellent verbal and written communication skills
- Strategic thinker with proven track record
- Must have team player instincts with the ability to see a project to conclusion with little follow-up
- Excellent client service orientation and proven ability to deal with demanding clients
Preferred qualifications, capabilities, and skills
- Professional accounting qualification (CA, CPA) a plus
- Experience with Investran or similar integrated Private Equity system a plus
- Familiarity and experience with private equity concepts (e.g. waterfall calculations, capital call/distribution processing, PE investment structures)
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