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2 months ago
Company Overview
Star Mountain Capital is a dynamic and expanding private investment firm dedicated to the lower middle-market ("LMM"), which encompasses businesses with annual EBITDA ranging from $5 million to $50 million. The Firm utilizes three synergistic strategies: (i) private credit, (ii) private equity, and (iii) secondary credit and private equity fund investing, all concentrated within the U.S. LMM. With over $4 billion in assets under management, Star Mountain is poised for continued growth driven by its performance, unique investment methodology, and a diverse investor base that includes domestic and global institutions.
Position Overview:
Star Mountain Capital is in search of a motivated and enthusiastic Financial Operations professional to contribute to a rapidly growing asset management firm. This role will emphasize financial controls, fund accounting, and investor reporting across various fund structures, including direct debt/equity investments and fund investments.
Key Responsibilities:
- Coordinate with external fund administrators to ensure timely and accurate deliverables related to the NAV process, including financial statements and capital account statements.
- Prepare financial analysis and reporting for senior executives across Star Mountain funds.
- Support the portfolio valuation process and assist audit and tax professionals during year-end audits.
- Oversee treasury and liquidity management functions, including cash position forecasting.
- Manage fund credit lines and ensure compliance with borrowing base covenants.
- Oversee the expense management process, including vendor relations and invoice processing.
- Conduct performance measurement, including the calculation of IRRs and investment multiples.
- Assist in the preparation of regular investor reports and quarterly investment communications.
- Identify and implement process improvements to enhance efficiency and maintain strong internal controls.
- Review partnership agreements and other legal documents related to investments.
- Support the investor onboarding process, including management of the investor portal.
Qualifications:
- Bachelor's degree in accounting, finance, or a related field; CPA designation preferred.
- 3-5 years of experience in private equity/credit or relevant experience in a fast-paced accounting environment.
- Strong understanding of partnership accounting, US GAAP, and financial reporting.
- Detail-oriented with strong analytical skills and experience in building complex financial models.
- Proven ability to work independently and as part of a team, with excellent interpersonal skills.
- Knowledge of tax structuring and investment legal documents is a plus.
- Demonstrated commitment to quality execution and a positive workplace culture.
Work Environment:
Star Mountain Capital emphasizes an in-office work model to foster collaboration and mentorship among employees, enhancing the onboarding and integration experience.
Compensation and Benefits:
The compensation package will be commensurate with qualifications and experience, including eligibility for an annual discretionary bonus and a comprehensive benefits package designed to support employee well-being.