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Store Manager
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Sales Operations Coordinator
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Medical Assistant, General and Colorectal,
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Larkspur, United States Marin Health Full timeABOUT MARINHEALTH Are you looking for a place where you are empowered to bring innovation to reality? Join MarinHealth, an integrated, independent healthcare system with deep roots throughout the North Bay. With a world-class physician and clinical team, an affiliation with UCSF Health, an ever-expanding network of clinics, and a new state-of-the-art...
Fund Accounting Manager
2 months ago
Company Description
Phoenix American Incorporated is made up of a diversified group of companies providing financial services to clients since 1972. Our Financial Services Company is a registered transfer agent with the SEC and has administered millions of investments for hundreds of funds. We are a leader in the field of securitization administration and accounting managing over $14 billion of aviation assets at original issuance. Over recent years, we have been significantly growing our Fund Accounting and Reporting services offering. We have a reputation for excellence providing distinctive quality, superior technology and committed customer service to our clients for more than forty years.
We are looking for an individual to help us continue to grow our fund accounting services for clients that manage various non-traded investment programs, including both private funds as well as publicly registered/non-traded funds. The Fund Accounting Manager will prepare a variety of investment program financial reports for clients that may include cash forecasts/reconciliations, allocations, investor Net Assets Values (NAVs), capital calls, distributions, monthly workbooks and other fund financial reporting output. They will also be responsible for reviewing staff work products and acting as primary point of contact for assigned clients.
Job Description
Demonstrate strong knowledge of fund accounting
Support SVP with business development efforts by analyzing accounting service needs for prospects and assist with developing pricing proposals
Review all transaction documentation and supporting files, and understand the features of the investment transactions, accruals, etc.
Prepare and review work paper files for accuracy and completeness, including capital activity, investment activity, income and expense accruals, valuation adjustments, etc.
Prepare management fee calculations
Prepare investor allocations and capital account statements
Prepare capital call and distribution calculations, sources/uses of cash, allocations, and investor notices
Update distribution waterfall (carried interest) models, in keeping with the applicable fund terms
Prepare financial statements, notes disclosures, and supporting schedules
Help manage the year-end audit process, in collaboration with the other team members, client, and auditors
Handle daily/routine client information requests
Contribute toward a team covering one or more client relationships
Deliver accurate and timely work product within specified deliverables timelines, and in coordination with other team members
Provide guidance and direction to junior staff on all technical and client-service-related topics
Where applicable, support the tax preparers with information to prepare tax compliance/reports
Support business/departmental initiatives
Qualified candidate must demonstrate a strong attention to detail, excellent organizational and time management skills, be a self-starter committed to quality and process improvement and have strong interpersonal and communication skills
Bachelors degree in Finance, Accounting, or Business Administration
5+ years experience in fund accounting, with focus on private equity and real estate investments funds
CPA designation a plus
Strong knowledge of US Generally Accepted Accounting Principles and other comprehensive basis of accounting, with an emphasis on investment partnerships
Experience preparing and reviewing general ledgers, work papers and financial statements
Deadline oriented with ability to complete assigned tasks independently
Oracle, Quickbooks, Netsuite, Archway ATWeb experience a plus
Proficiency in Microsoft Office suite, with superior Excel skills
Team player
Qualifications
Qualified candidate must demonstrate a strong attention to detail, excellent organizational and time management skills, be a self-starter committed to quality and process improvement and have strong interpersonal and communication skills
Bachelors degree in Finance, Accounting, or Business Administration
5+ years experience in fund accounting, with focus on private equity and real estate investments funds
CPA designation a plus
Strong knowledge of US Generally Accepted Accounting Principles and other comprehensive basis of accounting, with an emphasis on investment partnerships
Experience preparing and reviewing general ledgers, work papers and financial statements
Deadline oriented with ability to complete assigned tasks independently
Oracle, Quickbooks, Netsuite, Archway ATWeb experience a plus
Proficiency in Microsoft Office suite, with superior Excel skills
Team player
Additional Information
EQUAL OPPORTUNITY EMPLOYER
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