Fund Accountant
An International hedge fund with over 20+ years of success and significant AUM's, seeks to hire a
Fund Accountant for their lower Fairfield County, CT, office. This is an amazing firm that provides an excellent learning environment, opportunities for growth, and very good earning potential. They are onsite Monday - Thursday.
Responsibilities include but are not limited to:
• Calculate fund incentive fees, investor balances and liquidity, investor redemption wires, and monthly fund management fees
• Handle various reconciliation processes.
• Compute monthly performance estimates.
• Review, allocate, and process fund expense payments.
• Prepare monthly NAV package. In doing so, will analyze differences and liaise with the fund administrator to resolve.
• Prepare/review monthly internal and external reporting.
• Review monthly investor statements.