Fund Controller
$175k - $240kPIMCO
PIMCO is a global leader in active fixed income with deep expertise across public and private markets. We invest our clients' capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating complex debt markets. Our flexible capital base and deep relationships with issuers have helped us become one of the world's largest providers of traditional and nontraditional solutions for companies that need financing and investors who seek strong risk-adjusted returns. Since 1971, our people have shaped our organization through a high-performance inclusive culture, in which we celebrate diverse thinking. We invest in our people and strive to imprint our CORE values of Collaboration, Openness, Responsibility and Excellence. We believe each of us is here to help others succeed and this has led to PIMCO being recognized as an innovator, industry thought leader and trusted advisor to our clients. Position Description PIMCO's Alternatives platform is a key strategic growth area for the firm, managing approximately $150 billion across a diverse range of investment strategies and vehicle structures, including evergreen and closed-end funds. As the platform continues to expand-particularly across complex, open-ended private credit strategies, the need for scalable, well-governed financial infrastructure has become increasingly critical. The Alternatives Funds Finance team plays a central role in supporting this growth, providing end-to-end financial oversight across the platform, including accounting and control, investor reporting, audit and regulatory coordination, treasury and liquidity management, and oversight of third-party service providers. We are seeking a Vice President, Alternatives Fund Controller to join the team, with a focus on evergreen private credit strategies. This individual will be responsible for overseeing the financial accounting, reporting, and control framework for a complex set of hybrid, open-ended funds investing across public and private credit markets, including real estate and specialty finance. This role requires a highly proficient accountant with deep alternatives experience and strong product knowledge, particularly in private credit and complex fund structures. The position offers significant visibility across the organization and the opportunity to partner closely with Portfolio Management, Legal, Tax, Compliance, and Operations to support both ongoing fund oversight and new product development initiatives. Location Newport Beach, CA or New York, NY Responsibilities Key responsibilities include, but are not limited to: Serve as a Fund Controller , with ownership of financial oversight and control for a group of complex evergreen private credit funds Oversee fund administrators responsible for NAV production , ensuring accuracy of accounting, valuation, fee calculations, and investor allocations Act as the accountable owner of the fund accounting and reporting framework , ensuring completeness, accuracy, and consistency with fund governing documents and accounting policies Review and challenge financial outputs , including capital account statements, investor reporting, and audited financial statements Manage the fund close cycle , ensuring timely and accurate delivery of reporting to internal stakeholders and investors Oversee accounting for complex and illiquid investments , including private credit instruments, structured products, real estate debt and equity, and hybrid fund structures Evaluate and operationalize bespoke fee arrangements , including designing analytical review frameworks to ensure accurate application across investors and distribution partners Serve as a key interface between fund-level finance and corporate finance functions , including Corporate Controllers, Treasury, and firm-wide reporting teams, ensuring alignment between fund performance, fee generation, and firm-level financial reporting Oversee fund treasury and liquidity management , including subscriptions/redemptions, capital calls, and income distributions Partner closely with Portfolio Management and deal teams on complex transactions to ensure appropriate financial reporting treatment Manage external audits, regulatory filings, and compliance-related reporting requirements Oversee third-party service providers , including fund administrators, ensuring performance against SLAs, quality of deliverables, and continuous improvement Lead process improvement initiatives , enhancing controls, reducing operational risk, and improving scalability, including through the use of automation and emerging technologies Serve as a central point of coordination across internal stakeholders , including Finance, Product Strategy, Legal, Tax, Compliance, and Operations Support new product launches and structural changes , contributing to the development and scaling of new fund offerings Qualifications 8-15 years of experience in fund accounting, audit, or finance within an alternative asset manager or leading public accounting firm Strong experience with alternative investment structures, with preference for exposure to private credit and evergreen/open-ended funds Demonstrated experience overseeing fund administrators and external service providers Strong understanding of US GAAP and investment company accounting principles Experience with complex financial structures, including private credit, structured products, real estate, and hybrid fund vehicles Proven ability to manage audit processes and regulatory reporting requirements Strong analytical, problem-solving, and project management skills Ability to operate independently with a high degree of accountability and ownership Excellent communication and stakeholder management skills Demonstrated ability to leverage technology and automation tools (including AI-enabled solutions) to enhance operational efficiency and scalability Bachelor's degree required Embodies PIMCO's CORE Values - Collaboration, Openness, Responsibility, and Excellence Preferred Qualifications CPA designation strongly preferred Background in Big 4 or leading public accounting firm preferred Experience working across multiple jurisdictions (e.g., US, Cayman, Luxembourg) Professional Attributes If the following qualities resonate with you, we encourage you to apply for this exciting opportunity at PIMCO. We offer a dynamic work environment where you can make a meaningful impact: Thrives in a fastpaced, highintensity, deadlinedriven environment and adapts effectively to shifting priorities and ambiguity. Strong analytical and problemsolving capabilities with sound professional judgment. Highly organized, with strong time and project management skills and the ability to manage multiple initiatives simultaneously. Comfortable operating with ambiguity and taking ownership of inflight processes, with the ability to bring structure, accountability, and clarity to evolving environments. Demonstrates intellectual curiosity and a desire to learn across asset classes, investment strategies, and emerging industry trends. Clear, confident written and verbal communication skills. Ability to balance attention to detail with an understanding of the broader investment, client, and business context. Highly collaborative workstyle, fostering effective partnerships with cross-functional colleagues, service providers, and other stakeholders. Self-motivated and detail-oriented, with a strong sense of ownership and accountability. Exhibits high emotional intelligence, adaptability, resilience, and professionalism. Demonstrates credibility, integrity, and strong ethical standards in all interactions. Resourceful and thoughtful problem solver who approaches complex issues with a practical and solutionsoriented mindset. PIMCO follows a total compensation approach when rewarding employees which includes a base salary and a discretionary bonus. Base salary is the fixed component of compensation that is determined by core job responsibilities, relevant experience, internal level, and market factors. The discretionary bonus is used to award performance and therefore is determined by company, business, team, and individual performance. Salary Range: $ 175,000.00 - $ 240,000.00 Equal Employment Opportunity and Affirmative Action Statement PIMCO recruits and hires qualified candidates without regard to race, national origin, ancestry, religion (including religious dress and grooming practices), sex (including pregnancy, childbirth, breastfeeding, or related medical conditions), sexual orientation, gender (including gender identity and expression), age, military or veteran status, disability (physical or mental), any factor prohibited by law, and as such affirms in policy and practice to support and promote the concept of equal employment opportunity and affirmative action, in accordance with all applicable federal, state, provincial and municipal laws. The company also prohibits discrimination on other basis such as medical condition, or marital status under applicable laws. Applicants with Disabilities PIMCO is an Equal Employment Opportunity/Affirmative Action employer. We provide reasonable accommodation for qualified individuals with disabilities, including veterans, in job application procedures. If you have any difficulty using our online system due to a disability and you would like to request an accommodation, you may contact us at View phone number on click.appcast.io and leave a message. This is a dedicated line designed exclusively to assist job seekers with disabilities to apply online. Only messages left for this purpose will be considered. A response to your request may take up to two business days. "} #J-18808-Ljbffr
$200k - $250k
...Job Overview – Fund Controller (Hedge Fund) Compensation: $200,000 – $250,000/year + bonus Location: Westchester County, NY Schedule: Monday to Friday (Hybrid) Atlantic Group is hiring a Fund Controller (Hedge Fund) in Westchester County, NY for our client, supporting...SuggestedMonday to Friday$90k - $120k
...We are a provider of specialized fund administration services for Managers and General Partners of private equity funds, specifically... ...operations rapidly and efficiently. Job Description The Fund Controller at Standish works with other team members to lead the financial...SuggestedWork at officeLocal area- ...Overview Fund Accounting & Financial Reporting/Management Company Accounting & Reporting Oversee the preparation and review of quarterly... ...schedules and workpapers Develop and maintain strong internal controls, accounting policies, and procedures Prepare and manage cash...Suggested
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- ...Hedge Fund seeks Fund Controller. The ideal candidate will have combined experience in public accounting and hedge fund accounting. The Controller will assume end-to-end responsibility for core fund accounting, tax compliance, and financial reporting. Responsibilities...Local area
- The Blackstone Group L.P. in New Jersey is seeking an experienced finance professional to oversee NAV and portfolio reconciliations, capital calls, distributions, and fee calculations. You will supervise accounting data, budgets, and investor reporting, coordinating with...
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$150k - $200k
...with experience. Job Responsibilities Manage and reconcile loan investments and debt facilities within Investran. Prepare and review fund-level forecasts, performance analyses, attribution reports and other ad‑hoc analytical deliverables. Oversee revenue‑related...Work from home- ...Atlantic Group is seeking a high-caliber Fund Controller to lead the financial operations of its diverse private equity fund structures. This role covers fund accounting, tax compliance, treasury oversight, investor reporting, and transaction support to ensure high integrity...
- Prospera Executive is partnering with a premier Private Equity firm to identify a high-caliber Fund Controller to join their growing finance team in New York. This is a fantastic opportunity for a seasoned professional to take ownership of fund accounting and reporting...Full time
- Coda search is partnering with a global investment management group that is seeking to hire a Fund Controller with offices located in New York, NY. This is a global firm that has around $60BN AUM and has been growing exponentially over the past few years. Due to expansion...
$200k - $250k
...high-growth private equity firm investing at the cutting edge of the technology sector. Our Client is seeking a CPA-qualified Fund Controller to lead accounting and reporting for their flagship tech-focused funds and co-investment vehicles. What You’ll Do: Own the financial...Full time- ...Atlas Search is seeking a Controller / Vice President in New York City to oversee accounting for a diversified real estate fund. This role involves managing a team, ensuring compliance, and enhancing reporting efficiency. Candidates should have 10–15 years of relevant...
$86k - $128k
#WeAreParamount on a mission to unleash the power of content… you in? We’ve got the brands, we’ve got the stars, we’ve got the power to achieve our mission to entertain the planet – now all we’re missing is… YOU! Becoming a part of Paramount means joining a team of ...Full time$131.3k - $243.9k
The Position A healthier future. It’s what drives us to innovate. To continuously advance science and ensure everyone has access to the healthcare they need today and for generations to come. Creating a world where we all have more time with the people we love. That’s ...Full timeLocal areaWorldwideRelocation package- ...Global Alterative Investment Solutions team supports the Private Equity Group that has $35 billion in assets. As an Alternative Fund Controller within the Global Alternatives Investments Solutions team, you will oversee financial operations of private equity funds. You...
$164k - $246k
...strategic value, risk, urgency, readiness, capacity, and available funding. Maintain an integrated view of programs, projects, and... ...execution, monitoring, and closure of initiatives, including change control, risk management, and documentation requirements. Resource and...Full timeContract workWork at office$115k - $140k
...digital experience coupled with meaningful banker relations. We believe in being a partner for enterprising companies, acting as a funding catalyst for mid-market innovation and growth. Piermont’s financial solutions and expertise empower our business community to thrive...Full timeWork at officeFlexible hours$150k - $210k
...credit product offering. The MSPC platform currently manages 2 fund families (including BDCs), which focus on different parts of the... ...business is looking to hire a Vice President (externally Fund Controller) candidate to perform the following principal responsibilities...Full timeTemporary workLocal areaWorldwide$250k - $300k
Client: Thriving Investment Advisory Firm Role: Portfolio Manager Salary: $250K - 300K+/annually Location: New York, New York Key Responsibilities Strategic Advisory: Serve as the lead advisor for a sophisticated client base, guiding them through complex financial landscapes...Shift work- Get AI-powered advice on this job and more exclusive features. Silvercrest Asset Management Group LLC is a leading independent, registered investment advisor offering bespoke asset management and family office services to ultra-high-net-worth families and select institutional...Work at office
$140k - $160k
Vestmark has been supporting clients’ direct indexing solutions for more than a decade. As we embark on our next stage of growth and evolution, Vestmark Advisory Solutions seeks a Portfolio Manager in our direct indexing investment management team. This person will be ...Remote work- ...Our client, a leading systematic hedge fund, is now looking to hire an experienced & dynamic Macro Portfolio Manager to join their expanding US division. This role will be based out of their NY office. We would like to talk with candidates who have successful quantitative...Full timeWork at officeImmediate startRelocation package
- 1 week ago Be among the first 25 applicants This range is provided by JW Michaels & Co.. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more. Base pay range $500,000.00/yr - $1,500,000.00/yr Additional compensation types ...Full timeRemote workRelocation package
$300k
...Be among the first 25 applicants Direct message the job poster from Fionics 40+ leading systematic funds seeking experienced PMs. Immediate openings. What you'll do: Own P&L responsibility and risk management Develop and implement quantitative strategies...Full timeImmediate startRemote work- Cube Root Corporation is a Certified Disadvantaged Business Enterprise (DBE), a Minority Business Enterprise (MBE) and certified 8(a) small business headquartered in Washington, DC. We specialize in construction management, program and project planning, project management...Temporary workWork at office
$150k - $250k
.... Core Responsibilities Investment Leadership Design and oversee strategic asset allocation frameworks Conduct rigorous manager and fund due diligence Monitor portfolio risk exposures across market cycles Develop capital market assumptions and forward-looking outlooks...Work at office- NBIM’s Equity Enhanced Indexing department seeks an experienced investment professional for our North American team managing our broad equity exposure in the US and Canada. This is a rare opportunity to generate significant excess return in an ambitious and collaborative...Shift work
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