Fund Accounting Manager (Real Estate Funds) ID-117
ABOUT US
We are Alter Domus. Meaning “The Other House” in Latin, Alter Domus is proud to be home to 85% of the top 30 asset managers in the alternatives industry, and more than 5,000 professionals across 23 countries.
With a deep understanding of what it takes to succeed in alternatives, we believe in being different. Invest yourself in the alternative, and join an organization where you progress on merit, where you can speak openly with whoever you are speaking to, and where you will be supported along whichever path you choose to take.
Find out more about life at Alter Domus at careers.alterdomus.com
Fund Manager
Location: Chicago, IL
Alter Domus is currently seeking a new Fund Manager to join our Real Estate Fund Accounting team!
JOB DESCRIPTION:
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Manage the client deliverables related to the NAV process, including financial statements, investor statements, capital call notices, distribution notices, and other ad-hoc reporting as required;
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Training, reviewing and oversight of Associate Fund Accountant and Fund Accountant and Senior Fund Accountants dedicated to your assigned group of funds;
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Help advise on performance review ratings/team performance
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Identify and execute on efficiency and process-improvement opportunities and communicate improvements to business unit leaders and other internal teams;
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Adhere to compliance requirements and identify and communicate risks;
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Review and calculate complex management fees, incentive fees, capital calls, and allocations;
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Interact directly with clients on weekly/monthly calls and ad-hoc as required;
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Owner of the timeline and calendar management for managing the client relationship including ownership of the client Operating Memorandum;
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Work with members of the Financial Control, Client Service, Implementation, and Technology teams to streamline production and enhance policies and procedures;
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Provide on the job training (“OJT”) your the team of accounting and financial-reporting professionals;
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Ensure strong internal and external communications on status, issues, and expectations;
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Lead accounting discussions with client during onboarding process and document client accounting treatment in Operating Memorandum.
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Broaden market knowledge and performs technical research when necessary
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Oversee and manage the interactions with the fund-client auditors; and
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Review all FS tables including CF, FIHI, Fair Value, etc. and limited exposure to footnotes.
YOUR PROFILE:
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Bachelor’s degree in accounting, finance, or other business-related field with substantive and relevant work experience;
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7+ years of accounting experience, preferably in the financial services industry, but not required;
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Proactive interest in learning, inquiring on, and mastering new investment concepts, accounting rules, and service processes required;
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Experience managing and directly overseeing a team required;
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Proactive, client-oriented approach with strong verbal and written;
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Communication skills and ability to collaborate with internal and external parties to meet deadlines and resolve issues;
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Outstanding organization, prioritization, and attention to detail;
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Ability to remain poised in a deadline-driven environment;
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Direct fund administration experience, exposure to private equity, credit, and real estate funds and concepts a plus; and
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CPA or CPA eligibility a plus.