Current jobs related to Fund Controller - New York, New York - PIMCO
-
Fund Accountant
3 weeks ago
New York, New York, United States Soros Fund Management Full timeJob Title: Fund AccountantCompany Overview:Soros Fund Management LLC (SFM) is a family office with approximately $26 billion in net assets under management. The majority of the assets are managed on behalf of the Open Society Foundations (OSF), which was founded by George Soros and is one of the largest charitable foundations in the world. OSF supports civil...
-
Fund Controller
4 weeks ago
New York, New York, United States PIMCO Full timeJob Title: Fund ControllerPIMCO is a global leader in active fixed income with deep expertise across public and private markets. Our flexible capital base and deep relationships with issuers have helped us become one of the world's largest providers of traditional and non-traditional solutions for companies that need financing and investors who seek strong...
-
Fund Controller
4 weeks ago
New York, New York, United States Neuberger Berman Group LLC Full timeJob Title: Fund ControllerWe are seeking a highly skilled Fund Controller to join our team at Neuberger Berman Group LLC. The successful candidate will be responsible for overseeing the financial and investor reporting for a series of residential credit funds and separate account mandates with approximately $12 Billion of AUM across the...
-
Senior Fund Accountant
4 weeks ago
New York, New York, United States Gen II Fund Services Full timeSenior Fund Accountant Job DescriptionGen II Fund Services, LLC is seeking a highly skilled Senior Fund Accountant to join our team. As a Senior Fund Accountant, you will be responsible for providing accounting services, including preparation and processing of transactions and financial statements with supporting schedules and work papers.Key...
-
Senior Fund Accountant
4 weeks ago
New York, New York, United States Gen II Fund Services Full timeSenior Fund Accountant Job DescriptionGen II Fund Services, LLC is seeking a highly skilled Senior Fund Accountant to join our team. As a key member of our accounting team, you will be responsible for providing accounting services, including preparation and processing of transactions and financial statements with supporting schedules and work papers.Key...
-
New York, New York, United States Atlantic Group Full timeController Job DescriptionA leading investment firm, Atlantic Group, is seeking a highly motivated and experienced Controller to join their growing team. The successful candidate will oversee the entire accounting function for the direct lending fund, ensuring accurate and timely financial reporting in accordance with GAAP.Responsibilities:Manage monthly,...
-
Private Credit Fund Controller
3 weeks ago
New York, New York, United States Neuberger Berman Group LLC Full timeJob Summary: We are seeking a highly skilled Private Credit Fund Controller to join our team at Neuberger Berman Group LLC. As a key member of our team, you will be responsible for ensuring the accuracy and timeliness of financial reporting for our private credit funds.Key Responsibilities:Develop a deep understanding of our existing private credit funds'...
-
Private Credit Fund Controller
3 weeks ago
New York, New York, United States Neuberger Berman Group LLC Full timeNB Private Markets, a rapidly growing group within Neuberger Berman, is seeking a seasoned professional to join their team as a Private Credit Fund Controller. With over $120 billion in investor commitments across various private equity fund of funds, secondary investments, co-investment, and direct investment areas, including alternative credit, this role...
-
Product Manager
1 month ago
New York, New York, United States 10976 Citi Fund Services Ohio, Inc. Full timeJob SummaryThe Product Manager - Fund Administration will play a key role in driving the strategic agenda of the global Fund Administration business. This senior management position will involve setting strategy, providing direction, leadership, and budgetary management, as well as developing product plans, strategies, and tactics. The successful candidate...
-
Senior Fund Administration Product Manager
4 weeks ago
New York, New York, United States 10976 Citi Fund Services Ohio, Inc. Full timeAs a Senior Fund Administration Product Manager at Citi, you will play a key role in driving the strategic agenda of our global Fund Administration business. Your primary responsibility will be to set strategy and provide direction, leadership, and budgetary management to ensure the successful development and launch of new products. You will work closely...
-
New York, New York, United States Arootah Full timeExpert Financial Controller for Hedge Funds and Family OfficesArootah is a leading provider of business advisory services to the hedge fund and family office industry. We are seeking an experienced financial controller to join our team of experts.Key Responsibilities:Provide expert financial guidance to hedge funds and family officesManage financial records,...
-
New York, New York, United States IQ-EQ Full timeJob Title: Controller - Private Equity Fund AccountingIQ-EQ is a leading service provider to the alternative asset industry, offering a range of services to managers in multiple capacities. We are seeking a highly skilled Controller to join our Alternative Investment team.Key Responsibilities:Oversee and manage all accounting and financial reporting...
-
New York, New York, United States IQ-EQ Full timeJob Title: Controller - Private Equity Fund AccountingWe are seeking a highly skilled and experienced Controller to join our Alternative Investment team. This is a dedicated resource for an existing client and requires weekly time in their office in NYC.Key Responsibilities:Manage the accounting and financial reporting activities for Fund and Management...
-
Fund Accountant
2 weeks ago
New York, New York, United States Michael Page Full timeThe Financial Controller - Alternative Investments will be responsible for calculating net asset value, preparing financial statements, and analyzing fund performance. This role reports directly to the Controller.About Our ClientOur client is an alternative investment management firm with a significant presence in the market. They invest across public and...
-
Senior Fund Accountant, Alternative Funds
4 weeks ago
New York, New York, United States Voya Financial Full timeAbout the RoleWe are seeking a highly skilled Senior Fund Accountant to join our Alternatives Platform team at Voya Financial. As a key member of our team, you will be responsible for overseeing the accounting and financial reporting for our growing alternatives business.Key ResponsibilitiesReview and reconcile net asset values and investor statements,...
-
Fund Accounting Specialist
3 weeks ago
New York, New York, United States ATLAS SP Full timeAbout ATLAS SPATLAS SP Partners is a global investment firm that provides innovative and bespoke structured credit and asset-backed finance solutions to companies seeking stable funding and capital markets services.Our integrated platform encompasses a holistic suite of capabilities, including asset/portfolio advisory solutions, warehouse/acquisition...
-
New York, New York, United States Eximius Finance Full timeProduct Control and IPV Specialist for Hedge Fund with $10Bn AUMEximius Finance, a top tier London based Hedge fund with a strong presence in New York, is seeking a Product Control and IPV Specialist to join their US office. The ideal candidate will have circa 3-6 years of hands on experience in a PC/IPV team and be able to work closely with front office- a...
-
Fund Accountant
4 weeks ago
New York, New York, United States Michael Page Full timeFinancial Operations SpecialistOur client, a leading investment management firm, is seeking a detail-oriented and experienced Financial Operations Specialist to join their team. The ideal candidate will oversee the financial operations of our funds, ensuring accuracy, compliance, and timely reporting. This role is critical in supporting investment strategies...
-
Fund Accounting Specialist
4 weeks ago
New York, New York, United States Tandym Group Full timeAssistant Controller / Sr. Fund AccountantA dynamic and growing hedge fund is seeking a highly skilled Assistant Controller / Sr. Fund Accountant to join their team in NYC.Key Responsibilities:NAV Calculations: Prepare and review NAV calculations for Master Fund and separately managed accounts.Year-End Audit: Collaborate with auditors and the administrator...
-
Fund Accounting Specialist
3 weeks ago
New York, New York, United States Michael Page Full timeJob SummaryMichael Page is seeking a detail-oriented and experienced Fund Controller to oversee the financial operations of our funds, ensuring accuracy, compliance, and timely reporting. This role is critical in supporting investment strategies and enhancing the overall financial performance of the firm.About the RoleThe ideal candidate will possess a...
Fund Controller
2 months ago
PIMCO is a global leader in active fixed income with deep expertise across public and private markets. We invest our clients' capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating complex debt markets.
Our flexible capital base and deep relationships with issuers have helped us become one of the world's largest providers of traditional and non-traditional solutions for companies that need financing and investors who seek strong risk-adjusted returns.
We believe each of us is here to help others succeed and this has led to PIMCO being recognized as an innovator, industry thought leader and trusted advisor to our clients.
Key Responsibilities- Serve as a Fund Controller with responsibility for financial accounting, reporting, and operational facilitation for a group of evergreen funds in PIMCO's private income strategy.
- The strategy invests in both public and private assets across commercial and residential real estate, and specialty finance asset classes.
- This role will oversee the accounting control and related reporting for the funds, including investment-level, allocation of profits and losses, calculation of fees and expenses and related capital accounting.
- Responsibility to determine operational feasibility of bespoke fee terms, including tracking required data points and calculating.
- Design and perform analytical reviews of the complex and bespoke fee calculations to ensure terms are applied accurately to respective investors and distribution partners.
- Manage the accounting close cycle and deliver timely and accurate reporting to internal constituents and ultimately investor capital account statements.
- Understand the organizational structure supporting PIMCO's Alternative funds and be able to collaborate across teams and third parties.
- Coordinate and interact with portfolio management on investment-related reporting matters and complex transactions.
- Oversee third party service providers, including the fund administrator and managed service partner in the completion of relevant activities associated with maintaining and reviewing the books and records of the funds.
- Manage the relationships with third party service providers through SLAs/critical metrics and site visits.
- Manage the external audit, regulatory reporting and other reporting requirements.
- Review the key financial information for investor deliverables (investor reports, capital account statements and annual audited financial statements).
- Lead the coordination and project management of critical Alternative Funds Finance team projects and initiatives.
- Coordinate the funds payment and expenses process to ensure compliance with the fund documents and timely and accurate execution and reporting.
- 4 - 6 years of experience in financial accounting, audit or finance function for an alternative investment manager with exposure to credit, real estate, evergreen and/or private equity funds.
- Ability to implement accounting and reporting for complex legal and tax investment structures crossing multiple jurisdictions.
- Knowledge of transaction process flows and requirements, and a desire to develop solutions that solve for operational and accounting complexities.
- Exposure to a broad range of private equity and open-ended fund structures (e.g. US, Cayman, Luxembourg).
- Experience leading both internal teams and overseeing an external administrators and other third party service providers.
- Broad knowledge of accounting principles including US GAAP and Investment Company Accounting.
- Bachelor's degree with a major in Accounting.
- Active CPA license.
- Big 4 background desired, but not required.
- Ability to work in a fast paced, deadline driven environment.
- Excellent quantitative/analytical and problem solving skills.
- Excellent communication and interpersonal skills.
- Highly organized, excellent time/project management skills.
- Keen desire to learn and quickly absorbs new knowledge.
- Balance a sharp focus on details with an awareness of the bigger picture.
- Foster a sense of teamwork, assisting others when needed/required.