Fund Manager

Mitchell Martin
Clifton Park, NY Full Time
POSTED ON 10/28/2023 CLOSED ON 11/23/2023

What are the responsibilities and job description for the Fund Manager position at Mitchell Martin?

Our client Solutions provides investment firms with customizable, full-service administration, accounting, and investor servicing solutions and is seeking an Fund Manager .

Location: Remote, Clifton Park, NY

Position Type: Full Time

SUMMARY DESCRIPTION

The Manager, Fund Team is responsible for overseeing the day-to-day operations of client Funds and

communicate directly with the General Partners of the Funds. This position will require regular

interaction with clients, team members and management. This position requires a mastery of complex

private equity accounting skills, the ability to oversee the complete financial reporting and capital

call/distribution process and direct oversight of Staff Accountant I, II (Fund), Senior Accountant I, II

(Fund), Associate Manager team members. This position serves as a resource to members of the team,

in addition to Senior Management, providing guidance, training and additional support as needed.

ESSENTIAL DUTIES AND RESPONSIBILTIES

Oversee the preparation and distribution of quarterly financial statements to the Limited Partners to report information regarding the performance of the Fund.

Oversee the preparation of schedules to support the general ledger balances reported in the financial statements.

Calculate, prepare, and distribute capital call notices to the Limited Partners to notify them when contributions are due.

Understand and interpret terms set forth within the Limited Partnership Agreement.

Calculate and review complex waterfall structures.

Complete required regulatory forms to ensure the Fund complies with specific regulation

requirements.

Calculate and distribute proceeds to Limited Partners to return capital owed to them.

Communicate directly with the General Partners and respond promptly to their requests to provide them with the information they require.

Review investment packages to confirm the securities purchased are wired to the correct beneficiary and are for the appropriate amounts.

Calculate management fees owed to the Management Company for the investment and portfolio management services they provide to the Fund.

Interact with auditors and provide them with reports/support to assist them during the audit.

Complete audit confirmations to satisfy procedures performed for the audits of the Limited Partners.

Ability to multi-task between different tasks, client deliverables and internal demands throughout the day.

Provide supervision, guidance and coaching to the team, including regular training support as needed.

KNOWLEDGE AND SKILLS

Advanced knowledge of accounting principles, methods, procedures, internal controls with the ability to exercise good judgement in selecting and interpreting information.

Excellent client service skills with an aptitude to understand the clients' business and maintain strong client relationships.

Dedication and motivation to achieve high standards of client service and professional in the performance of duties.

Ability to organize and prioritize work, assisting in the coordination of the work of other team members as needed.

Advanced computer and technical skills, including the use of MS Office Suite and other financial systems.

Ability to effectively provide team members and others with information, training and assistance as needed.

Ability to understand and carry out moderately complex accounting procedures and analysis.

Preparation of work papers; general knowledge of financial reporting.

Demonstrate sound research, interpretive and problem-solving abilities.

QUALIFICATIONS

5 – 7 years' (relevant) experience in accounting or related field.

5 – 7 years' supervisory experience in the following: performance management (including coaching, progressive discipline, performance review delivery etc.), training, talent acquisition and retention.

Minimum of a Bachelor's Degree in Accounting or related field.

Advanced degree (MBA or MSA) in accounting or related field strongly preferred.

Certified Public Accountant (CPA) license is strongly preferred.

Experience in forecasting and budgeting during an accelerated growth period.

Proficient in Microsoft Office Suite with knowledge of Investran or other partnership accounting software a plus.

Ability to multitask, time management, attention to detail, planning and problem-solving skills required.

Ability to communicate and interact professionally and effectively through written and oral communication with current and potential clients and.

Ability to work in a fast-paced environment and handle/manage multiple team and individual priorities and deadlines.

PHYSICAL AND OTHER REQUIREMENTS

At times, as business needs arise, and employees are required and agree to work beyond their normal workday or work week to fulfill the accountabilities required for their job.

The physical requirements described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. o While performing the duties of this job, the employee is regularly required to sit and stand.

The employee must occasionally lift and/or move up to 10lbs and.

Specific vision abilities are required within this position.

Occasional travel (approximately 10% or less) may be required in this position.

Reasonable accommodations may be made to enable employees to perform the essential functions.

Must haves:

Private Equity Accounting

5-7 years' experience

2 years management/supervisory experience

Knowledge of Waterfall calculations

Excel, Investran

Preferred: CPA, MBA

Excellent communication skills and ability to liaise with senior management and end client.

Salary/Rate: TBD based on location

*M
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