Senior Fund Accountant - Private Funds

Artisan Partners

$125K — $180K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Advanced understanding of US GAAP and financial statements required.
  • Minimum of 7-10 years experience with alternative investment products expected.
  • Undergraduate degree in accounting or finance; CPA preferred.
  • In-house investment management experience is essential.
  • Knowledge of various investment types including equities, debt, derivatives, and private equity is necessary.
  • Strong analytical skills and attention to detail are crucial.
  • Excellent organizational and communication abilities essential for teamwork.

Responsibilities

  • Review and validate net asset value, investor allocations, and performance data from fund administrators.
  • Independently model management fee calculations and incentive agreements, ensuring accuracy in complex structures.
  • Analyze governing documents, applying methodologies relevant to closed and open-ended funds.
  • Lead the technical review of audited financial statements and liaise with external auditors on accounting issues.
  • Design and enhance fund accounting models, focusing on complex hedge fund structures to improve efficiency.
  • Oversee interactions with external service providers such as fund administrators and auditors.
  • Ensure accuracy in regulatory reporting and perform analytical reviews of submitted information.

Benefits

  • Discretionary bonus eligibility based on individual and firm performance.
  • Opportunities for professional development within a collaborative operations team.
  • Exposure to complex accounting and investment mechanisms in a variety of asset classes.
  • Flexible work locations in major U.S. cities for better work-life balance.
Full Job Description
The Senior Fund Accountant will join a highly collaborative and engaged operations team, supporting and overseeing complex accounting and fee mechanics for the firm's private funds, with a focus on technical analysis, governing document interpretation, and independent validation of fund economics. The ideal candidate has experience in alternative investment fund administration, including financial reporting and fund administrator oversight responsibilities. This role will primarily support the Firm's alternatives business, including equities, fixed income, derivatives, and private assets.

Location: Boston, MA | Chicago, IL | Milwaukee, WI | San Francisco, CA | New York, NY | Denver, CO

Base Salary Range: $125,000-$180,000

Specific placement within the provided range will be determined by an individual's geographic location as well as relevant experience and skills for the role. Base salary is only one component of our total compensation package. Associates may be eligible for a discretionary bonus, which is determined upon Firm and individual performance.
Responsibilities

The candidate is expected to:
  • Review net asset value calculations, investor allocations, performance calculations, and other information prepared by the fund administrator
  • Independently model and validate complex management fee, incentive fee, and carried interest calculations, including hurdle rates, catch-up provisions, crystallization mechanics, and investor-specific arrangements
  • Review, analyze, and apply complex concepts, methodologies and calculations within open and close ended fund documents (i.e., LPA, PPM)
  • Lead the preparation and technical review of audited financial statements; serve as a primary point of contact for external auditors and resolve complex accounting matters
  • Provide technical leadership in the design, standardization, and continuous improvement of fund accounting models, controls, and workflows, with a focus on complex hedge fund and private equity structures (including side pockets, co-investments, and special purpose vehicles), to drive operational efficiencies.
  • Assist with oversight of and interactions with external service providers, primarily the third-party fund administrator and fund auditors
  • Review regulatory reporting (i.e., Form PF, Form PQR), including tying out financial information to supporting ledgers and performing analytical review procedures on information contained in the reports


Qualifications

The successful candidate will possess strong analytical skills and attention to detail. Additionally, the ideal candidate will possess:
  • Advanced understanding of US GAAP and audited financial statements
  • In-house investment management experience required
  • Minimum of 7-10 years of experience with alternative investment products required
  • Undergraduate degree in accounting or finance with demonstrated academic achievement; CPA preferred
  • Knowledge of accounting and operations across a variety of investment types including equities, debt, derivatives, and private equity investments is required
  • Strong work ethic and sense of ownership; collaborative approach to solving problems
  • Self-starter with the ability to multi-task in a fast-paced environment and demonstrated ability to prioritize daily, monthly, and year-end work
  • Excellent organizational and communication skills, confident verbal, and interpersonal approach
  • Advanced Microsoft Excel skills required, including complex modeling, scenario analysis, and reconciliation techniques
  • Data analytics and knowledge of Tableau or comparable tools beneficial


Privacy Notice for California Applicants

Artisan Partners Limited Partnership is an equal opportunity employer. Artisan Partners does not discriminate on the basis of race, religion, color, national origin, gender, age, disability, marital status, sexual orientation or any other characteristic protected under applicable law. All employment decisions are made on the basis of qualifications, merit and business need.

#LI-Remote/span>

Similar Jobs

More Jobs at Artisan Partners

More Finance & Insurance Jobs

Find similar Senior Fund Accountant - Private Funds jobs: