Corporate Accounting & FP&A
- Prepare and analyze financial statements for investment entities and subsidiaries.
- Collaborate with external tax advisors on U.S. federal, state, and local tax filings.
- Support deferred tax calculations and record appropriate journal entries.
- Perform bank reconciliations and monitor operating balances.
- Contribute to cash flow forecasting and financial reporting packages.
Investment Management
- Maintain a strong understanding of private credit investment structures.
- Review closing documents, extract key investment data, and create loan amortization schedules.
- Track portfolio performance, calculate return metrics, and support performance reporting.
- Assist in the setup and accounting of new investments and legal entities.
Operations
- Coordinate investment closings, including wire instructions and settlement via custodians and platforms.
- Monitor and reconcile investment transactions and cash movements.
- Liaise with custodians, agents, and counterparties to ensure timely receipt of interest, principal, and completion of KYC.
- Support audit processes and ensure compliance with internal controls and reporting standards.