Senior Fund Accountant (Private Credit Fund) at Daley and Associates
Boston, MA 02111, USA -
Full Time


Start Date

Immediate

Expiry Date

12 Oct, 25

Salary

120000.0

Posted On

12 Jul, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Data Analysis, Powerpoint, Pivot Tables, Financial Reporting, Presentations, Private Equity, Reporting, Hedge Fund

Industry

Accounting

Description

Senior Fund Accountant - Boston MA - Private Debt
Our team is currently working with a leading credit focused fund based in Boston to hire a Senior Fund Accountant to their growing team. This is an ideal role for an accounting or finance professional seeking to deepen their expertise in credit and private debt funds, while also gaining exposure to a broad range of investment products from both an operational and financial reporting perspective.

QUALIFICATIONS:

  • Minimum of 3 years of professional experience, with at least 2 years in public accounting or fund administration
  • (Big 4 or asset management clients preferred)
  • CPA license or active progress toward CPA designation strongly preferred
  • Solid understanding of U.S. GAAP, with a focus on investment fund accounting and financial reporting
  • Hands-on experience with a wide range of security types, including debt instruments and structured products; prior exposure in private equity, hedge fund, or audit environments is a plus
  • Familiarity with partnership accounting and complex fund structures; knowledge of U.S. tax considerations for investment funds is a plus
  • Proficient in accounting and trade systems (e.g., Investran, Geneva, or similar platforms)
  • Strong Excel skills (including formulas, pivot tables, and data analysis); working knowledge of PowerPoint for presentations and reporting
    If you are interested in this opportunity, please reach out to Vincenzo Kulturides directly at vkulturides@daleyaa.com

    LI-VK1

Responsibilities

RESPONSIBILITIES:

  • Review fund NAVs, investor capital account statements, and financial reports prepared by third-party fund administrators for accuracy and consistency with fund documents and internal records; coordinate with offshore teams to delegate tasks, review deliverables, and ensure timely and accurate completion of recurring workflows
  • Monitor and validate fund-level expenses, management fees, performance allocations, and other key calculations.
  • Coordinate with external administrators, auditors, and tax advisors to ensure timely and accurate delivery of reporting packages, audit materials, and regulatory filings.
  • Work closely with internal teams including: Legal, Compliance, Investor Relations, and Investment teams to align accounting and operational workflows.
  • Maintain internal fund data, dashboards, and workpapers to track capital activity, distributions, and valuation events.
  • Assist in the review of capital call and distribution notices before delivery to investors.
  • Support in the tracking of investment holdings, monitoring cash flows, and assisting in the analysis and processing of complex investment restructurings, including amendments, forbearances, and recapitalizations.
  • Support internal and external audit processes by managing timelines and facilitating information exchange.
  • Contribute to the ongoing refinement of internal controls, processes, and documentation related to fund operations.
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