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Fund Accountant

Opto Investments

Fund AccountantIn a fast-paced, engaging environment, you will work cross-functionally with our product, engineering, and operations teams. You will be responsible for building the foundation of our investment offering, implementing controls, and partnering with technology to automate processes.Your day-to-day will include:Assist with the quarterly NAV close and financial statement process, reviewing administrator workpapers and reconciliations to ensure accuracy and compliance with U.S. GAAP and Limited Partnership Agreements, including:Reconciliations of P&L, cash, capital, and investment positionsComplex private portfolio company transactions, including secondary transactions, co-investments, and restructuring events.Waterfall and carried interest calculations with full audit trail and compliance with side letters.Management fees, offsets, and expense allocations.Gross and net IRR calculations and other performance metrics (TVPI, DPI) for investor reporting.Assist with the funds' day-to-day operations, including planning and coordinating capital calls and distributions, managing the end-to-end process, including review of calculations, notices, and wire execution.Support valuation governance under ASC 820, prepare pricing documentation, and coordinate materials for valuation committee approval.Lead the annual audit process, including PBC coordination, audit queries, and timely issuance of audited financials.Oversee tax process for the funds, coordinating with tax providers and/or fund administrator.Contribute industry and operational knowledge to product development and new fund launches.Design and implement accounting policies, internal controls, and best practices to scale finance operations.Partner with Business, Investor Relations, and Compliance, providing analyses, data, and responses to investor and regulatory queries.Coordinate the fund's payment and expenses process to ensure compliance with the fund documents, timely and accurate execution, and reporting.You have a builders mindset and are excited to develop processes and a team with a customer service mindset. You are willing to dive into problems and have a track record of driving solutions.You are interested in offering top-notch service to your clients.You have the required knowledge and expertise in interpreting and understanding Limited Partnership Agreements and Private Placement Memoranda.You are skilled in working with complex entity structures and report consolidations.You have strong critical thinking, problem-solving, and decision-making abilities.You take pride in your excellent communication skills and can multitask to meet multiple deadlines.You have experience overseeing and monitoring the timely delivery of top-quality client deliverables.You are interested in working in a fast-paced environment as an individual on a supportive team.You have experience using technology to automate processes and gain efficiency.You have experience in providing training and guidance to new and existing team members.You are well-versed in risk management, identifying risk, and implementing appropriate controls.Proficiency with Excel and data analysis; familiarity with process automation toolsBonus skillsExperience working in a startup environmentRegistered Fund working experienceIFRS experienceBackground2–6 years of progressive experience in fund accounting within private equity, fund administration, or alternative investments. Public accounting experience (Big 4/Top 10) preferred but not required.A CPA or plans to pursue.Applicants must be authorized to work for ANY employer in the U.S. We are unable to sponsor or take over sponsorship of an employment Visa at this time.

Vacancy posted 9 hours ago
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