J
Fund Accounting Officer | Hybrid | BGC
J
Fund Accounting Officer | Hybrid | BGC
john clements family4-7 Years
- Posted 8 hours ago
- Be among the first 10 applicants
Job Description
Job Summary
The Officer role combines delivery oversight with people development responsibility and deep product expertise across Alternatives NAV operations. Officers are accountable for review quality, product correctness, and team capability, ensuring NAV outputs align with complex fund structures and accounting standards.
Key Responsibilities
- Review and sign off on NAV deliverables and reconciliations prepared by Senior Associates
- Act as escalation point for operational, technical, and client‑related issues
- Apply deep product and structural knowledge to challenge accounting treatments and assumptions
- Provide technical guidance on complex allocation mechanics, including distribution waterfalls, preferred returns, catch‑ups, and carried interest
- Review and support capital account rebalances, true‑ups, and post‑event adjustments
- Train, coach, and develop staff, including onboarding and technical upskilling
- Ensure consistent adherence to controls, procedures, and service standards
- Support complex client discussions related to structures, allocations, and NAV outcomes
- Identify recurring issues and drive corrective actions with AVPs
- Contribute to standardization and continuous improvement initiatives
Qualifications
- 4–7 years of alternatives operations or similar experience
- Proven review and sign‑off capability with strong judgment on issue escalation
- Deep understanding of Private Markets fund structures, including LP/GP models, commitments, capital calls, distributions, and lifecycle events
- Deep understanding of differences between Private Equity, Private Credit, and Real Estate
- Strong expertise in distribution waterfalls and carried interest mechanics
- Experience reviewing capital account rebalances and investor‑level true‑ups
- Required experience in training, coaching, and developing staff
- Preferred experience and working knowledge of Geneva and/or Investran
- Degree in Accounting, Finance, or a related field
More Info
Key Skills
NAV operations
distribution waterfalls
Private Markets fund structures
capital calls
LP GP models
carried interest mechanics
capital account rebalances
lifecycle events
