Private Funds - Fund Accounting

Reposted 2 Days Ago
New York, NY, USA
In-Office
95K-105K Annually
Junior
Insurance • Consulting • Financial Services
The Role
Manage end-to-end accounting and financial reporting for private funds, including quarterly closes, audit preparation, investor reports, fee calculations, invoice payments, review of administrator deliverables, and regulatory filings (Form PF/ADV, PQR/PR, Reg U, TIC). Interface with investment and operations teams and drive process and reporting improvements.
Summary Generated by Built In
Position Summary

The Accounting team oversees the end-to-end accounting and financial reporting for a suite of private funds and related entities. This is a hands-on, broad-scope position where you will manage quarterly closes, prepare fund audits, interface directly with investment and operations teams, and drive continuous improvements in reporting and processes. The ideal candidate brings strong technical fund accounting expertise, excellent organizational skills, and the ability to manage complex fund structures. This role will be based in our New York City office, full-time.

Responsibilities

Key Responsibilities
  • Preparer of accounting and financial reporting for alternative investment products (hedge funds, structured products, private equity, CLOs, BDC, SPVs)
  • Preparers of financial statements for annual audits of alternative investment products
  • Preparers of capital statements, holdings reports, and financial statements for investors
  • Preparers of all fee calculations of alternative investment products including management fees, incentive, carried interest, and expense reimbursements
  • Reviewers of Fund administrator prepared accounting and financial reporting deliverables
  • Preparers of all invoice payments for alternative investment products
  • Accurate and timely regulatory reporting related to alternative investment products to SEC (Form PF, ADV), NFA/CFTC (PQR, PR), Treasury (Reg U, TIC)
QualificationsPreferred Qualifications
  • CPA Strongly Preferred
  • Strong communication (written and verbal), analytical and spreadsheet skills.
  • Exposure to investment companies such as hedge funds, private equity funds, mutual funds, CLOs, or similar accounting
Basic Qualifications
  • BS/BA required
  • 1-3 years prior public accounting/fund accounting experience in financial services

Salary Range

Annual base salary between

$95,000.00-$105,000.00

The base salary range represents the low and high end of the anticipated base salary range for this position. Actual base salaries may vary depending on factors such as location and experience. The range listed reflects base salary only, and the total compensation package may include other components such as incentive compensation.

Skills Required

  • BS/BA degree
  • 1-3 years prior public accounting or fund accounting experience in financial services
  • Experience preparing financial statements and audits for alternative investment products (hedge funds, private equity, CLOs, BDCs, SPVs)
  • Experience with fee calculations (management fees, incentive fees, carried interest, expense reimbursements)
  • Knowledge of regulatory reporting to SEC (Form PF, ADV), NFA/CFTC (PQR, PR), Treasury (Reg U, TIC)
  • CPA
  • Strong written and verbal communication, analytical, and spreadsheet skills
  • Exposure to investment companies such as hedge funds, private equity funds, mutual funds, or CLOs
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The Company
Year Founded: 1999

What We Do

Guggenheim Investments is a global asset management and investment advisory firm with expertise in fixed income, equity, and alternatives strategies. It serves a diverse clientele, including insurers, sovereign wealth funds, public pensions, and high-net-worth individuals. The firm focuses on delivering tailored solutions through institutional rigor and a commitment to long-term performance across public and private markets.

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