Associate Vice President, Finance/Accounting

Energy Impact Partners LP

$130K — $140K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 6-7 years in accounting or finance roles
  • Bachelor's degree in accounting or finance with strong academic record
  • CPA or CFA preferred
  • Experience in cross-functional collaboration
  • Preferred management experience
  • Superior organizational skills and attention to detail
  • High ethical standards and integrity
  • Experience with process improvements in growing businesses
  • Strong multi-tasking and communication abilities

Responsibilities

  • Coordinate with investment teams for deal execution, portfolio monitoring, and transaction accounting
  • Prepare and review quarterly portfolio valuations and implement valuation methodologies per ASC-820
  • Manage preparation and review of credit fund financial statements and workbooks
  • Mentor and train junior staff while managing direct reports
  • Manage liquidity and line of credit, including capital call timing and compliance
  • Analyze investment performance, including returns and carried interest calculations
  • Enhance controls, documentation, and record-keeping processes
  • Assist in coordination with fund service providers for tax, audit, and portfolio monitoring
  • Conduct ad hoc analyses for CFO and senior management.

Benefits

  • Comprehensive benefits package
  • Annual bonus opportunities
  • Potential participation in equity programs
Full Job Description
EIP is seeking an Associate VP to join the growing Finance team led by the CFO and Controller. The Finance team works closely with the EIP investment, operations and investor relations teams and directly communicates with EIP's Founder/CEO and COO. This position is based in Washington, DC and will require some travel.

Key areas of responsibility:
  • Coordinate with investment teams for seamless deal execution, portfolio monitoring and funding/disbursements while recording and accounting for related transactions
  • Work closely with investment teams on preparation and review of quarterly portfolio company valuations including analysis of complex capital structures and implementation of valuation methodologies in accordance with ASC-820
  • Responsible for managing preparation and reviewing annual and quarterly credit fund financial statements and quarterly/monthly workbooks
  • Manage direct reports and junior staff with a focus on mentorship and training
  • Actively manage fund liquidity and line of credit including forecasting, compliance with partnership agreement and determination of timing of investor capital calls
  • Analyze and calculate investment/fund performance and projections including returns and carried interest waterfall
  • Maintain and improve controls, documentation and record-keeping
  • Assist in the coordination with fund service providers for auditor, tax, custodians, valuation and portfolio monitoring
  • Ad hoc analysis for CFO/senior management and other responsibilities as needed

The ideal candidate will have:
  • 6-7 years of total experience in an accounting or finance role
  • Bachelor's degree in accounting or finance with exceptional academic performance
  • CPA or CFA preferred
  • Cross-functional experience with driving progress by working closely across internal teams
  • Management experience preferred
  • Superior organization and attention to detail
  • High ethical standards
  • Experience with identifying and implementing process improvement in a growing business
  • The ability to effectively multi-task, manage deadlines, learn quickly and communicate clearly

This position offers a comprehensive benefits package and compelling compensation including base salary, annual bonus and potential participation in equity programs. Our base compensation range for this role is $130,000-140,000.

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