Fund Manager

Ascend Partner Firms

$110K — $145K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Accounting or Finance
  • Licensed and active CPA
  • 5-10+ years in real estate, private equity, or alternative investment fund accounting
  • Strong knowledge of partnership accounting
  • Experience with GAAP and tax-basis financials
  • Familiarity with book-to-tax differences
  • Experience with fund structures (LPs, LLCs, SPVs)
  • Demonstrated leadership and team management

Responsibilities

  • Manage day-to-day fund accounting operations
  • Oversee monthly and quarterly closes and NAV calculations
  • Review U.S. GAAP and tax-basis financial statements
  • Prepare and/or review capital calls and investor allocations
  • Maintain and review partner capital accounts
  • Coordinate accounting for investment activity
  • Manage entity structures including fund consolidations
  • Partner with external auditors and tax advisors
  • Enhance internal controls, policies, and accounting procedures
  • Lead and mentor fund accounting staff

Benefits

  • Flexible PTO
  • Excellent Voluntary Insurance Options
  • 401(k) Matching
  • Discretionary Bonus
  • Commitment to Professional Development
  • Meaningful work that impacts clients' lives
Full Job Description
The Role

At Lucas Horsfall, a Fund Accounting Manager oversees the accounting, financial reporting, and operational activities for real estate and private equity funds. This role is responsible for managing both U.S. GAAP and tax-basis financial reporting, ensuring accurate investor allocations, and maintaining compliance with partnership agreements and regulatory requirements. The position plays a key role across the full fund lifecycle, from capital activity to audit and tax reporting. This position will be achieved in a hybrid environment out of our Encino or Pasadena office locations.

Key Responsibilities
  • Manage day-to-day fund accounting operations, including general ledger activity, journal entries, and reconciliations
  • Oversee monthly and quarterly closes, including preparation and review of NAV calculations
  • Review U.S. GAAP and tax-basis financial statements, ensuring accuracy and consistency between reporting frameworks
  • Prepare and/or review capital calls, distributions, and investor allocations in accordance with Limited Partnership Agreements (LPAs)
  • Maintain and review partner capital accounts, including allocations of income, expenses, and carried interest/waterfalls
  • Coordinate accounting for investment activity, including acquisitions, dispositions, financing, and equity transactions
  • Manage entity structures, including consolidations across funds, SPVs, and holding companies
  • Partner with external auditors and tax advisors to support annual audits and tax reporting (e.g., K-1 preparation)
  • Maintain and enhance internal controls, policies, and accounting procedures
  • Lead, mentor, and review work of fund accounting staff


Required Qualifications
  • Bachelor's degree in Accounting or Finance
  • Licensed and active CPA
  • 5-10+ years of experience in real estate, private equity, or alternative investment fund accounting
  • Strong knowledge of partnership accounting, including capital accounts and allocations
  • Experience preparing or reviewing both GAAP and tax-basis financials
  • Familiarity with book-to-tax differences and ability to work and coordinate with tax teams
  • Experience with fund structures (LPs, LLCs, SPVs, blocker entities)
  • Demonstrated leadership and team management experience


Preferred Qualifications
  • Background in both real estate and private equity funds
  • Experience with complex waterfalls and carried interest structures
  • Experience with investor subsequent closes and concept of catch-up interest
  • Exposure to property-level accounting or development projects
  • Experience working with third-party sponsors of joint venture investments


What We Offer

As a firm, we offer great benefits, a competitive salary and tuition reimbursement for advanced education. Headquartered in Pasadena, CA with offices in Encino and Irvine, Lucas Horsfall is a growing CPA and consulting firm focused on tax, audit, and consulting needs. Explore the opportunities that await you today! Join our team and enjoy a comprehensive benefits package that supports well-being, health, and ongoing professional growth:
  • Flexible PTO
  • Excellent Voluntary Insurance Options
  • 401(k) Matching
  • Discretionary Bonus
  • Commitment to Professional Development
  • Meaningful work that makes a difference in our clients' lives


How to Apply

Submit your information in the application section directly below! This will include:
  • Basic contact information
  • Resume/CV and optional cover letter upload
  • Work eligibility, credentials, and compensation
  • Voluntary demographic & self-ID questions

For further questions or inquiries about the role, please reach out to Aidan Jebson, Sr. Recruiter at [redacted].

The pay range for this role is $110,000 - $145,000 per year. This range includes the anticipated low and high end of the pay range for this position. Actual compensation may vary based on various factors, including experience, education, and/or skill level.

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