Assistant Controller
1Sharpe Capital
1Sharpe Capital is a Bay Area based investment management firm with 2Bn in AUM and strategies spanning mortgage whole loans (residential transitional & construction loans), credit, real estate and venture. Founded in 2016, 1Sharpe Capital is a lean and fast-growing organization headed by seasoned industry leaders in mortgage credit, fixed income, real-estate investing. The Role An exciting opportunity for a highly motivated individual to be a leader in the finance/accounting team. A successful candidate will not only be a critical part of the fund's treasury, accounting and finance operations, but will be expected to seek out solutions to make the reporting process and ultimate work product better. This is a very fast-paced, fast-growing environment and so candidate must be able to pivot quickly and roll up their sleeves to find a solution. The candidate should be experienced finance/accounting professional to join our team in a role that blends fund accounting, financial reporting, operations, and investment support. This individual will work directly with the firm's Controller, COO and fund administrator to ensure timely and accurate delivery of financial statements. They should be a self-starter, highly organized, enjoy working in a dynamic entrepreneurial environment and wants to grow into a broader finance leadership role. Must be able to work in office (San Francisco) 5 days a week. Responsibilities Assist with the monthly, quarterly, and annual close for multiple private investment funds and management entities Assisting with financial reconciliations of month-end closing processes Coordinate with third-party fund administrators, auditors, tax advisors, custodians, and banking partners Monitor fund cash flows, capital activity, management fees, incentive allocations, and financing facilities Cash identification and real time booking of loan cashflows (i.e. loan funding, payoffs etc…) Supporting treasury functions including banking activities (cash and FX management) and interactions with various debt financing providers (weekly/monthly remittances, quarterly/annual reports & certifications, etc…) Assist with investor reporting and regulatory filings Analyze portfolio activity and understand how investment transactions flow through the financial statements Partner closely with the investment, operations, compliance, and investor relations teams on strategic initiatives Identify opportunities to automate processes and improve operational efficiency Qualifications Bachelor's degree in Accounting, Finance, or related field 5+ years of accounting or finance experience within an investment manager, fund administrator, private credit firm, mortgage finance company, bank, or other financial institution Strong understanding of GAAP and financial reporting Excellent Excel skills and experience with accounting or portfolio management systems. CPA designation (or progress toward one) is a plus but not required Strong analytical, organizational, and communication skills #J-18808-Ljbffr
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