UMB Bank

Fund Accountant Lead-Alt Inv

UMB Bank$98K — $144K *
US-Anywhere
+ 11 other locationsRemote
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in accounting or finance, or equivalent experience
  • At least 6 years of fund accounting experience

Responsibilities

  • Review and perform accounting functions for alternative investment funds
  • Train and oversee fund accounting staff
  • Ensure compliance with accounting policies and regulations
  • Build and maintain client and professional relationships
  • Onboard clients or new funds for existing clients
  • Monitor cash settlements and investor activities
  • Prepare and review financial statements and regulatory filings

Benefits

  • Paid Time Off
  • 401(k) matching program
  • Annual incentive pay
  • Paid holidays
  • Comprehensive medical, dental, and vision insurance
  • Health savings and flexible spending accounts
  • Adoption assistance
  • Employee assistance program
  • Fitness reimbursement
  • Tuition reimbursement
  • Wellbeing programs
  • Emergency fund assistance
  • Banking benefits
Full Job Description
The Fund Accounting Alternative Investments Team provides accounting, pricing, and reconciliation services for our alternative investment fund clients. This group is a growing team that continues to add to our client portfolio. With additional clients and the evolution of client needs comes the opportunity to grow our knowledge base and expand our technological capabilities.

The Fund Accounting-Alternative Investments role supports UMB by handling all accounting, bookkeeping, and reporting for our clients. This role prepares all net asset values for funds, reviews cash settlements and investor activity, and enters trade information as needed. As a lead level position, this role will be responsible for the following:

  • Review or, as needed, perform accounting and administrative functions, including, recording investment and investor transactions, pricing and reconciliation of portfolios, compiling trial balances and financial statements, effecting investor allocations, and investor reporting for alternative investment funds.


  • Additional responsibilities include the progressive training and oversight of fund accounting staff.
  • Independently review or, as needed, perform general ledger accounting functions ensuring compliance with all accounting policies and procedures and in accordance with applicable rules and regulations such as SEC, IRS and GAAP.
  • Develop and maintain a strong relationship with the clients and other professional firms (such as audit/tax) with whom the clients conduct business.
  • Demonstrate ability to onboard a client or new fund(s) for an existing client
  • Review preliminary and final trial balances and net asset value (NAV) for funds completed by Fund Accountants.


  • Monitor and review cash settlements, investor activity, interest, dividend payments, and other cash items to ensure that outstanding issues are being addressed and elevated to the appropriate level.
  • Maintain and/or review monthly audit and expense analysis schedules to support year end audits and financial statement preparation.
  • Identify, investigate, and propose solutions for daily accounting and pricing issues.
  • Review and distribute the financial statements, investor reports and other client reports.
  • Calculate and present for review, to the Client, the final financial package and the net asset value of the fund.


  • Review or, as needed, prepare the quarterly regulatory filings, such as N Q, N CSR etc., where applicable.


Working in the Fund Accounting group at UMB can be fun, challenging, and very team oriented. We perform at a high level for our clients and believe that relationships both internally and externally are key to UMB's success. There are deadlines we rally around as a team and we rely on our shared expertise to accomplish our goals. We enjoy being part of a work family and many of our associates get together for intermural sports and various community service projects throughout the year.

We're excited to talk with you if:

  • You have a bachelor's degree in accounting or finance or equivalent experience
  • You have at least 6 years of Fund Accounting experience


This position was posted on 08/04/2026. The application deadline for this position is 45 days from the posting date unless filled earlier.

Compensation Range:
$98,208 - $144,705

The posted compensation range on this listing represents UMB's good faith and reasonable estimate based on its budget and what it expects to be the starting pay for this role, but the actual compensation may vary by geographic location, experience level, and other job-related factors. Please see the description of benefits included with this job posting for additional information.

UMB offers competitive and varied benefits to eligible associates, such as Paid Time Off; a 401(k) matching program; annual incentive pay; paid holidays; a comprehensive company sponsored benefit plan including medical, dental, vision, and other insurance coverage; health savings, flexible spending, and dependent care accounts; adoption assistance; an employee assistance program; fitness reimbursement; tuition reimbursement; an associate wellbeing program; an associate emergency fund; and various associate banking benefits. Benefit offerings and eligibility requirements vary.

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About UMB Bank

UMB Bank is a subsidiary of UMB Financial Corporation, a financial services holding company headquartered in Kansas City, Missouri. The bank was founded in 1913 as City Center Bank and later changed its name to United Missouri Bank. The bank provides a range of financial services, including personal banking, commercial banking, wealth management, and investment banking. The bank has more than 100 branches in eight states, including Missouri, Kansas, Colorado, Illinois, Oklahoma, Nebraska, Arizona, and Texas. The bank is known for its commitment to customer service and community involvement.
Learn more about UMB Bank
Size
3,000 employees
Market Cap
$3.9 billion
Industry
Net Income
$286.5 million
5 Year Trend
+10.5%

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