- Salary
- Up to $125k
- Location
- Kirkwood, MO
- Type
- Full-time
- Department
- Finance
- Experience
- 4+ years
- Source
- PCRecruiter
Description
Responsibilities
• Maintaining accounting records and supporting schedules for multiple fund entities
• Recordkeeping and reconciling investment activity
• Help onboard and manage oversight of fund administrator
• Managing the use, maintenance, and compliance of the fund credit facilities
• Overseeing fund cash management, including accounts payable and fund allocations
• Assisting in maintaining fund-level forecast models
• Managing capital calls and distributions
• Maintaining partner allocations, including waterfall analysis
• Preparing quarterly capital account statements for investors
• Calculating management fees and ensure timely payment to the management company
• Preparing quarterly financial statements and supporting notes
• Assisting with audit and investor requests
• Assisting with the preparation of tax allocations for the funds and providing other tax support as needed
• Organizing, maintaining summaries of, and ensuring compliance with, important governance documents (e.g., partnership agreements)
• Participating in various financial projects, and establishing and maintaining processes
• Identifying opportunities to streamline fund accounting, reporting, and investor deliverables through automation and AI‑enabled tools, in partnership with the CFO, VP of Operations and Fund Controller Team Lead
• Utilizing AI‑assisted workflows (e.g., reconciliations, variance analysis, document review) while maintaining strong control over review, validation, and compliance standards.
• Collaborating with internal teams and external service providers to evaluate and implement technology solutions that improve data quality, timeliness, and transparency for LPs and
internal stakeholders.
• Remaining open and adaptable to new AI and technology capabilities, incorporating them thoughtfully into day‑to‑day processes and special projects.
Qualifications
• Bachelor’s degree in Finance, Accounting, Business, or related field
• Minimum of 4 years of professional experience in related field
• Public accounting, private equity, and/or financial services experiences (highly preferred)
• Excellent verbal and written communications
• Strong analytical skills and attention to detail
• Microsoft Office proficiency (Excel, Word, and PowerPoint); familiarity with data visualization and/or workflow tools is a plus
• Comfort working with, and learning to use, AI-enabled tools (e.g., for data analysis, reconciliations, document review, and drafting) in a controlled, compliance-oriented environment
• Curiosity about technology and process improvement, with a willingness to experiment with AI solutions while maintaining rigorous quality and control standards
• A self-starter with the ability to work autonomously
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