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Asset Management - Alternative Fund Controller - Vice President

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 2 months ago

No clicks

Senior fund accounting role within a global alternative investments team responsible for overseeing financial operations of private equity funds. The role manages quarterly accounting, NAV calculations, financial statements, investor allocations, audits, and reconciliations while overseeing fund administrators and service providers. It also involves participation in regulatory filings, new product launches, technology initiatives and ad hoc projects, working closely with senior leadership.

Compensation
Not specified

Currency: Not specified

City
New York City
Country
United States

Full Job Description

Location: New York, NY, United States

The Global Alterative Investment Solutions team supports the Private Equity Group that has $35 billion in assets. 

As an Alternative Fund Controller within the Global Alternatives Investments Solutions team, you will oversee financial operations of private equity funds. You will work closely with an experienced group of professionals while being involved in all aspects of financial reporting, accounting, tax, internal controls, and oversight over service providers. You will own core functional responsibilities and participate in more tactical and strategic initiatives working with senior leadership

Responsibilities

  • Manage the quarterly accounting process and oversee the fund administrator’s net asset value computation
  • Review trial balances, investor allocations, management fee calculations, and carried interest calculations
  • Review quarterly and annual financial statements
  • Reconcile portfolios holdings and trade activity (capital calls, distributions, return of capital)
  • Coordinate annual audit process
  • Assist on new product launches
  • Assist in preparation of regulatory filings
  • Participate in technology initiatives
  • Handle ad hoc requests and projects

Required qualifications, capabilities and skills 

  • A thorough understanding of private equity accounting, financial reporting, and fund administration
  • Excellent communication skills, both written and oral, including the ability to interact with all levels of the organization
  • Strong problem solving, analytical, and decision making abilities
  • Team player, highly motivated, self-starter with strong organizational/multi-tasking skill
  • Ability to adapt to a rapidly changing business and technical environment
  • Bachelor’s Degree – Accounting / Finance

Preferred qualifications, capabilities and skills

  • Regulatory (Form ADV, PF, AIFMD) reporting knowledge a plus
  • CPA/CFA preferred
Great opportunity to join the Global Alternative Investment Solutions team!

Asset Management - Alternative Fund Controller - Vice President

Compensation

Not specified

City: New York City

Country: United States

J.P. Morgan logo
Bulge Bracket Investment Banks

2 months ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

Senior fund accounting role within a global alternative investments team responsible for overseeing financial operations of private equity funds. The role manages quarterly accounting, NAV calculations, financial statements, investor allocations, audits, and reconciliations while overseeing fund administrators and service providers. It also involves participation in regulatory filings, new product launches, technology initiatives and ad hoc projects, working closely with senior leadership.

Full Job Description

Location: New York, NY, United States

The Global Alterative Investment Solutions team supports the Private Equity Group that has $35 billion in assets. 

As an Alternative Fund Controller within the Global Alternatives Investments Solutions team, you will oversee financial operations of private equity funds. You will work closely with an experienced group of professionals while being involved in all aspects of financial reporting, accounting, tax, internal controls, and oversight over service providers. You will own core functional responsibilities and participate in more tactical and strategic initiatives working with senior leadership

Responsibilities

  • Manage the quarterly accounting process and oversee the fund administrator’s net asset value computation
  • Review trial balances, investor allocations, management fee calculations, and carried interest calculations
  • Review quarterly and annual financial statements
  • Reconcile portfolios holdings and trade activity (capital calls, distributions, return of capital)
  • Coordinate annual audit process
  • Assist on new product launches
  • Assist in preparation of regulatory filings
  • Participate in technology initiatives
  • Handle ad hoc requests and projects

Required qualifications, capabilities and skills 

  • A thorough understanding of private equity accounting, financial reporting, and fund administration
  • Excellent communication skills, both written and oral, including the ability to interact with all levels of the organization
  • Strong problem solving, analytical, and decision making abilities
  • Team player, highly motivated, self-starter with strong organizational/multi-tasking skill
  • Ability to adapt to a rapidly changing business and technical environment
  • Bachelor’s Degree – Accounting / Finance

Preferred qualifications, capabilities and skills

  • Regulatory (Form ADV, PF, AIFMD) reporting knowledge a plus
  • CPA/CFA preferred
Great opportunity to join the Global Alternative Investment Solutions team!