Fund Accounting Manager

  • Category: Accountant Jobs
  • Location: Charlotte, North Carolina
  • Job Type: Full Time / Part Time
  • Salary: Estimated: $ 24K to 31K
  • Published on: 2025/09/21

Qualifications
We are looking for an experienced and detail-oriented Fund Accounting Manager to join our Private Wealth team
The ideal candidate will bring extensive expertise in credit operations, financial reporting, and regulatory compliance, along with outstanding organizational and analytical skills
5+ years of accounting experience, ideally within private credit, asset management, or financial services
Excellent verbal and written communication skills
Advanced proficiency in Microsoft Excel
Strong ability to manage multiple tasks and prioritize to meet key deadlines
Self-motivated and able to work independently, while also being a collaborative team contributor
Benefits
Compensation: To $130K
Responsibilities
In this critical role, you will manage and oversee the accounting functions, valuation processes, and regulatory compliance for our Private Wealth private credit portfolio
This position requires close collaboration with our finance and investment teams to ensure accuracy and alignment across portfolio activities
Review and validate Valuation Engine inputs and outputs to ensure accuracy and consistency across the portfolio
Approve final valuation results and submit them to the Financial Administrator (FA)
Oversee portfolio company financial reporting and manage third-party asset selections
Coordinate valuation meetings with third-party firms and internal stakeholders to maintain alignment
Review and validate FA NAV components, including expenses, fee calculations, and performance metrics
Oversee preparation and filing of regulatory forms (8-K and 10-Q), including valuation methodology calculations and supporting documentation
Ensure completeness and accuracy of N-CSR disclosures
Liaise with auditors (EY) and external advisors (ET) for quarterly and annual filings
Conduct SOX control reviews and participate in audit discussions
Manage the annual audit process and ensure compliance with regulatory requirements
Review and approve tender offer board consents and significant portfolio modifications
Oversee SALT tax accruals and perform annual reviews of taxable income and excise tax calculations
Assess tax suitability of deals and coordinate dividend and tender offer record dates
Review and manage the preparation of financial statements and close checklists
Conduct dividend calculations, including yield analysis and preparation of QII and 1+A reports
Oversee subscription and share issuance processes to ensure compliance
Coordinate borrowing base reviews and manage annual managerial assistance letters
Prepare materials for board meetings, including valuation updates and operational presentations
Coordinate board approvals for regulatory filings and tender offers, ensuring accuracy and timeliness
Job description
Compensation: To $130K.

Job Overview – Fund Accounting Manager – 33313

We are looking for an experienced and detail-oriented Fund Accounting Manager to join our Private Wealth team. In this critical role, you will manage and oversee the accounting functions, valuation processes, and regulatory compliance for our Private Wealth private credit portfolio. The ideal candidate will bring extensive expertise in credit operations, financial reporting, and regulatory compliance, along with outstanding organizational and analytical skills. This position requires close collaboration with our finance and investment teams to ensure accuracy and alignment across portfolio activities.

Responsibilities
• Review and validate Valuation Engine inputs and outputs to ensure accuracy and consistency across the portfolio.
• Approve final valuation results and submit them to the Financial Administrator (FA).
• Oversee portfolio company financial reporting and manage third-party asset selections.
• Coordinate valuation meetings with third-party firms and internal stakeholders to maintain alignment.
• Review and validate FA NAV components, including expenses, fee calculations, and performance metrics.
• Oversee preparation and filing of regulatory forms (8-K and 10-Q), including valuation methodology calculations and supporting documentation.
• Ensure completeness and accuracy of N-CSR disclosures.
• Liaise with auditors (EY) and external advisors (ET) for quarterly and annual filings.
• Conduct SOX control reviews and participate in audit discussions.
• Manage the annual audit process and ensure compliance with regulatory requirements.
• Review and approve tender offer board consents and significant portfolio modifications.
• Oversee SALT tax accruals and perform annual reviews of taxable income and excise tax calculations.
• Assess tax suitability of deals and coordinate dividend and tender offer record dates.
• Review and manage the preparation of financial statements and close checklists.
• Conduct dividend calculations, including yield analysis and preparation of QII and 1+A reports.
• Oversee subscription and share issuance processes to ensure compliance.
• Coordinate borrowing base reviews and manage annual managerial assistance letters.
• Prepare materials for board meetings, including valuation updates and operational presentations.
• Coordinate board approvals for regulatory filings and tender offers, ensuring accuracy and timeliness.

Requirements
• Bachelor’s degree in Accounting; CPA or CFA designation preferred.
• 5+ years of accounting experience, ideally within private credit, asset management, or financial services.
• Experience with Investment Company Accounting and ASC 820 (formerly FAS 157) preferred.
• Background in private credit investments is a plus.

Knowledge, Skills, And Abilities
• Excellent verbal and written communication skills.
• Advanced proficiency in Microsoft Excel.
• Strong ability to manage multiple tasks and prioritize to meet key deadlines.
• Self-motivated and able to work independently, while also being a collaborative team contributor.

Additional Job Details

Workplace Policy:

Seniority Level: Mid-Senior Level

Linked In Poster:


Company Name: Sherpa | Recruiting, Staffing & Consulting

Related jobs

  • General Accounting Associate

    Qualifications We are looking for someone with a Bachelor's degree in Accounting or Finance and 1-3 years of accounting experience Benefits We offer a dynamic and supportive work environment, opportunities for professional growth and development, and...

    Full Time / Part Time

    $ Estimated: 17K to 18K

    Charlotte, North Carolina

    2025/09/21


    Apply Now

  • Fall 2025 Auditing Intern

    Qualifications Actively enrolled at an accredited university or college majoring in Accounting; Completed at least one semester of intermediate accounting; Proficient with Microsoft software applications; Excellent written and verbal communication sk...

    Full Time / Part Time

    $ Estimated: 19K to 25K

    Charlotte, North Carolina

    2025/09/21


    Apply Now

  • Real Estate Investment Accountant II

    Job highlights Identified by Google from the original job post Qualifications Physical Requirements: Sedentary Work 2 + years of accounting experience in public accounting, fund accounting, real estate accounting and/or financial statement preparatio...

    Full Time / Part Time

    $ Estimated: 15K to 27K

    Charlotte, North Carolina

    2025/09/21


    Apply Now