Financial Analyst for a growing private equity fund management company

Vertical Careers, Inc.

Financial Analyst for a growing private equity fund management company

Los Angeles, CA
Full Time
Paid
  • Responsibilities

    Accounting Analyst

    Description

    This position will act oversee and ensure the accuracy and timely completion of company’s finance and accounting deliverables.

    Primary Duties and Responsibilities

    • Shadow, review, and/or prepare fund financials, property financials, and operating financials
    • Calculate management fees and carried interest
    • Prepare capital calls and distribution notices
    • Monitor and project cash needs
    • Oversee the audits of various entities and investments
    • Liaise with tax accountants and coordinate tax filings
    • Research tax and accounting developments
    • Track and review portfolio investments
    • Track and review debt covenants with lenders
    • Create and maintain accounting policies and procedures
    • Support the asset valuation process
    • Troubleshoot finance and accounting issues
    • Undertake ad hoc requests

    Qualifications

    • Bachelor degree in Accounting or Finance from a four-year college or university

    Associate:

    •  2+ years of experience at a private equity, hedge fund, fund administrator, or auditing firm (preferably auditing alternative investment funds or financial services firm), OR
    • 3+ years of experience at a CPA firm handling full cycle accounting and supporting documents, AND
    • Will  need to take an accounting and finance exam

    Analyst:

    • 0-3 years of experience at a private equity, hedge fund, fund administrator, audit firm, or CPA firm
    • CPA a plus

    Must be proficient in the following:

    • Microsoft Office applications (i.e. Excel, Word, PowerPoint)
    • Good communication skills, both oral and written
    • Problem solving
    • Excellent attention to detail and organizational skills
    • Multitasking and prioritizing work to meet deadlines
    • A strong understanding of U.S. GAAP, particularly fund and partnership accounting