Fund Accounting Manager | DCS (Software Investments)

Posted Yesterday
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National, IA, USA
In-Office
102K-153K Annually
Senior level
Fintech • Software • Financial Services
The Role
Manage full lifecycle fund accounting for open- and closed-end private equity vehicles: review capital calls/distributions, NAVs, fee and waterfall calculations, quarterly and annual financial statements and audits, regulatory filings, bank/custody reconciliations, cash movements, and investor reporting. Coordinate with investor relations, fund operations, treasury, and compliance, support investor inquiries, and contribute to process improvements and ad hoc projects.
Summary Generated by Built In
About Us

Petra Funds Group is a single-source provider for fund administration and infrastructure needs for private equity and debt funds. At Petra, we enable fund managers to focus on the tasks that add the most value to their businesses and leave the rest to us.

Petra is made up of highly experienced professionals across the US and Europe. In a business where accuracy and timeliness are paramount, having a deep bench who've spent years working with asset managers is what differentiates us.

Our foundation is built on trust, experience, and uncompromising accuracy. Our people are experts. We work collaboratively. We are relentless in our process and put attention to detail first.


The Fund Accounting Manager will support our client's Growth strategies, responsible for overseeing the full lifecycle of fund accounting across both open- and closed-end private equity vehicles. This individual will manage capital activity, maintain accurate NAVs, and lead quarterly and annual financial reporting while partnering closely with investment and investor relations teams. The role requires a strong understanding of varying fund structures, including the nuances between open- and closed-end vehicles, as well as experience with complex equity structures, valuation concepts, and waterfall mechanics.

The ideal candidate brings several years of private markets fund accounting experience, ideally within growth equity or similar strategies, and has operated within a fund administrator, asset manager, or Big Four environment. They are detail-oriented, proactive, and comfortable in a fast-paced setting, with the ability to manage multiple priorities and communicate effectively across cross-functional teams.



What You Will Do:
  • Review of capital calls and distributions prepared by fund administrator, including set-up of our clients check workpapers
  • Quarterly review of closing workpapers, financial statements, capital account statements, ILPA fee templates (as applicable) and ILPA subscription line usage templates (as applicable) prepared by fund administrator, including set-up of our clients check workpapers
  • Annual review of audited financial statements, footnotes, including disclosure workings
  • Detailed review of management fee and waterfall calculations prepared by fund administrator, including set-up of our clients check workpapers
  • Assist Investor Servicing Team in responding to information requests and inquiries from Limited Partners
  • Work with the Fund Operations Team to coordinate draws and repayment of fund-level credit facilities
  • Review expenses charged to Funds and perform allocations in accordance with the Firm’s expense allocation policy
  • Review materials prepared by Investor Relations and Compliance departments related to due diligence requests and regulatory filings
  • Reviews working papers supporting regulatory compliance filings and draft filings prior to submission, including AIFMD, FAR, Form ADV, Form PF, and other regulatory filings.
  • Monitor cash activities on a real time basis when there are capital calls and distributions
  • Assist in the execution of cash movements (wires, transfers, ACH, etc.), including coordination with Treasury team, as applicable
  • Monthly review of bank and custody reconciliations
  • Assisting in posting and releasing deliverables on the investor portal (financial statements, capital accounts, capital calls / distributions, etc.)
  • Ad Hoc projects
  • Support the creation of new documentation and best practices
  Qualifications
  • Minimum of 5 years of hands-on fund accounting/reporting experience required
  • A./B.S. in Accounting or Finance
  • CPA preferred
  • Excellent communication, collaboration and presentation skills
  • Self-starter that is able to self-motivate to work in a mostly remote team setting
  • Strong analytical skills, great attention to detail, expert modeling and spreadsheet capabilities


Salary Range
At Petra Funds Group, we are committed to transparency and equity in our hiring practices. The compensation range for this position is $102,000 - $153,000 per year. This range represents the base salary only. Actual pay will depend on factors such as qualifications, experience, and skills.



How We Care 

We believe people do their best work when they feel supported — personally and professionally. That’s why we offer a comprehensive benefits package that reflects our commitment to your well-being. Our perks include: 

  • 90% covered medical, dental, and vision insurance premiums to help you stay healthy without financial strain.
  • Fully funded Health Savings Account (HSA) employer contributions up to the IRS maximum — available to employees enrolled in our high-deductible health plan. *
  • 401(k) employer match at 100% of your contributions up to 5% of compensation, with immediate vesting, so you start building long-term savings right away.
  • Flexible paid time off to recharge, travel, or take care of what matters most.
  • Generous holiday calendar to ensure you have time to rest, reflect, and celebrate throughout the year.  
  • Hybrid work environment that offers flexibility and supports work-life balance. 

*Funded amount is prorated for new hires. 



What We’re Proud Of 

We’re proud of many milestones, but we’re especially honored by the recognition we’ve received for our workplace experience: 

  • Certified Great Place to Work®, based on direct feedback from our employees about trust and overall culture. 
  • Fortune Best Medium Workplaces™ and Best Financial Services & Insurance Workplaces™, highlighting our commitment to building an environment where people thrive. 


Skills Required

  • Minimum of 5 years of hands-on fund accounting/reporting experience
  • Bachelor's degree in Accounting or Finance
  • CPA
  • Strong understanding of open- and closed-end fund structures, complex equity structures, valuation concepts, and waterfall mechanics
  • Excellent communication, collaboration, and presentation skills
  • Self-starter able to work in a mostly remote/hybrid team setting
  • Strong analytical skills, attention to detail, expert modeling and spreadsheet capabilities
  • Experience in private markets fund accounting, ideally within growth equity, fund administration, asset manager, or Big Four environment
  • Familiarity with regulatory filings (AIFMD, FAR, Form ADV, Form PF) and ILPA templates
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The Company
HQ: New York, New York
282 Employees
Year Founded: 2021

What We Do

Petra Funds Group is a leading global provider of fund administration, middle and back-office support, regulatory compliance, and ESG services for private equity, venture funds, and private debt funds. Founded by private equity executives in 2021, Petra administers structures and funds that have in excess of +$500 billion in assets. We deliver tailored services to our valued client base from offices in the U.S. and Europe. Clients are serviced by regional teams led by executives with deep experience in alternative investments and ESG and supported by a global network of experts. Our coordinated fund administration solution and best-in-class technology enable our clients to scale their operations, reduce costs, and focus on their core competencies. For more information, please visit: www.petrafundsgroup.com.

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