Fund Finance, CIT Funds - Assistant Vice President

iCapital

$85K — $110K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5+ years of experience in fund accounting or public accounting focused on alternative investments
  • Strong familiarity with Collective Investment Trust (CIT) Accounting preferred
  • In-depth knowledge of investment company accounting under US GAAP
  • Experience with '40 Act and '34 Act registered funds and SEC reporting (Form 10-K, 10-Q)
  • Detail-oriented with strong skills in managing complex financial data
  • Proven team player, adept at collaborating with internal and external stakeholders
  • CPA certification preferred

Responsibilities

  • Conduct detailed reviews of monthly NAV packages from external fund administrators
  • Reconcile cash, positions, and activities between administrators and custodians
  • Validate portfolio valuations against data from GPs and independent valuation advisors
  • Recalculate management and incentive fees for accuracy verification
  • Review and approve fund-level expense payments and accruals
  • Support financial statement preparation and reviews for SEC filings
  • Act as the primary liaison with external auditors during the annual audit process
  • Utilize iCapital technology for creating monthly NAV statements and reports
  • Oversee the accuracy and timing of investor K-1s from third-party tax providers
  • Calculate proration factors for quarterly tender offers
  • Assist with internal controls related to financial reporting compliance
  • Enhance efficiency by implementing process improvements in fund finance

Benefits

  • Employer-matched retirement plan
  • Generously subsidized healthcare including 100% coverage for dental and vision
  • Telemedicine and virtual mental health counseling services
  • Parental leave offered
  • Unlimited paid time off (PTO)
  • Equity participation for all full-time employees
  • Annual performance bonus
Full Job Description
About the Role

As a key member of the team, this individual will play an important role in maintaining the accuracy, integrity, and operational excellence of fund accounting processes that support innovative retirement investment solutions. The organization is enhancing existing approaches, driving the future of retirement investing through new structures, expanded access to alternatives, and a commitment to operational excellence.

Responsibilities
  • Perform detailed reviews of the monthly NAV packages prepared by third-party fund administrators.
  • Reconcile cash, positions, and activity between the administrator and custodian.
  • Validate portfolio valuations to ensure they align with data provided by the GP and their independent valuation advisor.
  • Recalculate management and incentive fees to verify accuracy.
  • Review and approve fund-level expense payments and accruals.
  • Assist in the preparation and review of financial statements and schedules for quarterly (Form 10-Q) and annual (Form 10-K) SEC filings.
  • Act as a key liaison with the fund's external auditors, managing the end-to-end annual audit process.
  • Support the drafting and review of current reports (Form 8-K) for events such as monthly subscriptions.
  • Leverage iCapital technology to create and publish monthly NAV statements and fact cards for investors and distribution partners.
  • Contribute to the oversight of the third-party tax provider to ensure timely and accurate delivery of investor K-1s.
  • Calculate proration factors for oversubscribed quarterly tender offers.
  • Assist in the development and maintenance of internal controls over financial reporting to comply with regulatory requirements.
  • Contribute to the maintenance of our SOC-1 report to include the '34 Act fund servicing model.
  • Identify and implement process improvements to enhance the efficiency and accuracy of the fund finance function.

Qualifications
  • 5+ years of experience in fund accounting or public accounting with a focus on alternative investment management clients
  • Experience with Collective Investment Trust (CIT) Accounting strongly preferred
  • Strong knowledge of investment company accounting under US GAAP is required
  • Experience with registered funds ('40 Act and '34 Act) and familiar with SEC reporting requirements (Form 10-K, 10-Q)
  • Able to manage complex financial data with a commitment to being accurate and meticulous
  • Demonstrated ability to work on a team and work effectively with internal partners and external service providers
  • CPA certification is preferred

Benefits

The base salary range for this role is $85,000 to $110,000. iCapital offers a compensation package which includes salary, equity for all full-time employees, and an annual performance bonus. Employees also receive a comprehensive benefits package that includes an employer matched retirement plan, generously subsidized healthcare with 100% employer paid dental, vision, telemedicine, and virtual mental health counseling, parental leave, and unlimited paid time off (PTO).

We believe the best ideas and innovation happen when we are together. Employees in this role will work in the office Monday-Thursday, with the flexibility to work remotely on Friday.

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