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Fund Accounting Manager

$125k - $160k

Atlas Search

Our client, a leading real estate investment manager, is seeking a Fund Accounting Manager to lead fund accounting and reporting for a diverse portfolio of real estate credit and equity vehicles in Miami, FL. This is a high-impact role responsible for overseeing full-cycle accounting operations, managing a team, and partnering with asset management, investor relations, compliance, and tax to drive timely, accurate reporting and ongoing process improvements. The annual base salary range is $125,000 to $160,000. Actual compensation offered to the successful candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level, among other things. Details about eligibility for bonus compensation (if applicable) will be finalized at the time of offer. Job Responsibilities Supervise, mentor, and manage a team of Senior Accountants across daily fund accounting operations, workload allocation, and performance reviews Oversee fund accounting for real estate equity, joint venture investments, loan portfolios, and CMBS vehicles Establish and manage close calendars to ensure timely, accurate delivery of financial reports and investor materials Review and approve journal entries, account reconciliations, financial statements, capital activity, fee calculations, and complex carried interest models Oversee the preparation of capital call/distribution notices, investor allocation schedules, and all associated cash movements Lead investor reporting, including carried interest computations, partner capital statements, and routine investor communications Support new fund launches through document review, entity structuring, and accounting setup Partner with investor relations and compliance teams to address requests and ensure consistent, accurate communications Support quarterly valuations by reviewing underlying data, inputs, and assumptions for all investment types Prepare ad hoc reports for internal or investor relations use, as needed Liaise with tax and audit teams to provide data, support reporting, and manage annual audit processes Identify and implement improvements to internal controls, processes, and workflow efficiencies—including automation opportunities Job Requirements Bachelor’s degree in Accounting, Finance, or a related field CPA required 5–6+ years’ experience in fund accounting, with a mix of public accounting and private equity/real estate fund experience preferred Strong foundation in partnership accounting, capital commitments, waterfall/carry models, and fund structures Previous supervisory/leadership experience with accounting teams Experience with FIS Investran or similar fund accounting systems preferred Advanced skills in Excel (formulas, pivot tables, etc.) Excellent organizational, communication, and interpersonal skills Proactive, deadline-driven, and able to operate both independently and as part of a team Ability to manage competing priorities and tight timelines #J-18808-Ljbffr Atlas Search

Vacancy posted 2 days ago
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