Private Credit Fund Accounting, Associate

Reposted 9 Days Ago
Be an Early Applicant
New York, NY, USA
In-Office
100K-115K Annually
Mid level
Fintech • Payments • Financial Services
The Role
The Associate will manage day-to-day accounting and operations, oversee NAV packages, prepare financial statements, and liaise with service providers.
Summary Generated by Built In

Blue Owl (NYSE: OWL) is a leading asset manager that is redefining alternatives®.

With over $315 billion in assets under management as of March 31, 2026, we invest across three multi-strategy platforms: Credit, Real Assets and GP Strategic Capital. Anchored by a strong permanent capital base, we provide businesses with private capital solutions to drive long-term growth and offer institutional investors, individual investors, and insurance companies differentiated alternative investment opportunities that aim to deliver strong performance, risk-adjusted returns, and capital preservation.

Together with over 1,390 experienced professionals globally, Blue Owl brings the vision and discipline to create the exceptional. To learn more, visit www.blueowl.com

The Role

Blue Owl is seeking a Private Credit Fund Accounting, Associate that will support the day-to-day accounting and operational activities for the investment platform, with primary responsibility for investment funding, reconciliations, reporting oversight, and coordination with third-party service providers. The role will partner closely with the Administrator to review NAV packages and periodic reporting and will play a key role in quarterly financial statement preparation. The Associate will act as a central liaison across internal teams and external partners, supporting investment closings, portfolio valuation, credit facility administration, and regulatory compliance.

Responsibilities

  • Oversee day-to-day accounting and operational processes, including investment funding, daily reconciliations, and ongoing correspondence with the Administrator

  • Coordinate and review the Administrator’s NAV packages, including weekly, monthly, and quarterly reporting

  • Prepare quarterly financial statements and related financial reports

  • Serve as the primary liaison with external service providers, including administrators, auditors, lenders, and other third-party servicers

  • Partner closely with the front office and executive team to support the investment closing process

  • Participate in and support key aspects of the portfolio valuation process, including analysis and review

  • Manage credit facility administration and reporting, including borrowing base calculations, covenant compliance, monthly reporting, asset approvals, and efficient facility utilization

  • Perform and maintain regulatory compliance calculations and related reporting

  • Collaborate cross-functionally with Investment Operations, Portfolio Management, Legal & Compliance, Investor Relations, and Marketing

  • Respond to due diligence requests and prepare ad-hoc internal and external reporting

  • Support ad-hoc projects and strategic initiatives, such as implementation of new investment monitoring platforms, establishment of new credit facilities, and enhancements to financial reporting frameworks

Qualifications

  • 2 to 4 years of relevant experience in accounting, fund accounting, or investment operations

  • CPA required

  • Experience with credit strategies and/or bank debt preferred

  • Familiarity with fund administrators, NAV oversight, and financial reporting in an alternative asset management environment is a plus

The base annual salary range for this New York-based position will be $100,000 to $115,000. Actual salary offered will be based on the candidate’s skill, experience, and qualification for the role. Employees may be eligible for a discretionary bonus, based on factors such as individual and team performance. 

Benefits for this role include Health, Dental and Vision insurance, 401(k), Healthcare and Dependent Care Flexible Spending Account, Short Term Disability insurance, Long Term Disability Insurance, Family Planning Support, Paid Time Off, and Leave of Absences. All such benefits are subject to the terms/conditions of the Company’s benefits plans and policies.

Blue Owl is proud to be an Equal Opportunity Employer. We evaluate qualified applicants without regard to race, color, national origin, religion, sex, sexual orientation, gender identity, disability, protected veteran status, and other statuses protected by law. 

Skills Required

  • 2 to 4 years of relevant experience in accounting, fund accounting, or investment operations
  • CPA
  • Experience with credit strategies and/or bank debt
  • Familiarity with fund administrators and NAV oversight in alternative asset management
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The Company
New York, NY
1,162 Employees
Year Founded: 2021

What We Do

Blue Owl (NYSE: OWL) is a leading asset manager that is redefining alternatives®. With $235 billion in assets under management as of September 30, 2024, we invest across three multi-strategy platforms: Credit, GP Strategic Capital, and Real Estate. Anchored by a strong permanent capital base, we provide businesses with private capital solutions to drive long-term growth and offer institutional investors, individual investors, and insurance companies differentiated alternative investment opportunities that aim to deliver strong performance, risk-adjusted returns, and capital preservation. Together with over 1,050 experienced professionals globally, Blue Owl brings the vision and discipline to create the exceptional. To learn more, visit www.blueowl.com. Social Media Disclaimers https://www.blueowl.com/social-media-disclaimers

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