Commodities Fund Finance Manager

Northbound Search

Commodities Fund Finance Manager

New York, NY
Full Time
Paid
  • Responsibilities

    A leading global investment management firm is seeking an experienced and detail-oriented finance professional to join its commodities accounting and operations team.

    This position plays a key role in overseeing the accounting, reporting, and operational support of commodities-related investment activity across a complex multi-asset platform. The ideal candidate will bring strong technical accounting expertise, deep knowledge of commodities products, and experience operating within a fast-paced investment management environment.

    Key Responsibilities

    Fund Accounting & Reporting

    • Manage the accounting and reconciliation of commodities-related transactions, including futures, options, swaps, and physical commodities exposure.
    • Oversee monthly and quarterly NAV reporting processes for commodities-focused entities and strategies.
    • Partner with broader finance teams to ensure accurate reporting and adherence to internal controls and external reporting standards.

    Trade Support & Reconciliation

    • Work closely with trading, operations, and external counterparties to investigate and resolve breaks and reporting discrepancies.
    • Monitor daily transactional activity to ensure completeness and accuracy across systems.

    Risk & Performance Analysis

    • Assist in analyzing portfolio exposures, valuation impacts, and market-driven performance trends across commodities investments.
    • Support internal stakeholders with reporting and analysis tied to portfolio activity and risk metrics.

    Process Improvement & Automation

    • Identify opportunities to improve workflows, controls, and operational efficiencies within commodities accounting processes.
    • Utilize technology and automation tools to streamline reconciliations and reporting deliverables.

    Regulatory & Audit Support

    • Ensure compliance with applicable accounting and regulatory standards, including GAAP and IFRS where relevant.
    • Coordinate audit support and prepare documentation for internal and external reviews.

    Cross-Functional Partnership

    • Collaborate with portfolio management, middle office, legal, compliance, operations, and compensation teams on accounting-related matters.
    • Serve as a key internal resource for commodities accounting and operational questions.

    Qualifications

    Education & Certifications

    • Bachelor’s degree in Accounting, Finance, Economics, or a related discipline.
    • CPA, CFA, or similar professional designation preferred.

    Experience

    • 8-12+ years of relevant experience within fund accounting, commodities accounting, or investment operations.
    • Prior experience within an alternative asset manager, investment firm, trading environment, or complex financial institution strongly preferred.

    Technical Skills

    • Experience with investment accounting platforms such as Geneva or similar systems.
    • Advanced Excel capabilities required; exposure to SQL, Python, or reporting/visualization tools is a plus.

    Industry Knowledge

    • Strong understanding of commodities products, derivatives, and related operational workflows.
    • Familiarity with regulatory and reporting considerations impacting investment management firms.

    Professional Skills

    • Strong analytical mindset with excellent attention to detail.
    • Effective communication skills and ability to collaborate across multiple business functions.
    • Comfortable operating in a fast-paced, deadline-driven environment.