Hedge Fund Accountant
wall streetNew York, NY
Hedge Fund Accountant
L5
wall streetNew York, NY4 days ago
Occupations
Accountants and AuditorsFinancial Specialists, All OtherBookkeeping, Accounting, and Auditing ClerksIndustries
Portfolio Management and Investment AdviceTrust, Fiduciary, and Custody ActivitiesMiscellaneous Financial Investment ActivitiesCOMPANYA fast-growing event-driven hedge fund managing $4B in AUM, investing across liquid credit, bank debt, and equities from Midtown Manhattan. RESPONSIBILITIESFund Accounting & NAV Oversight: Own monthly and quarterly close, review NAV calculations and investor allocations alongside the fund administrator, and manage journal entries and audit supportBank Debt & Credit Accounting: Calculate and reconcile loan interest accruals, SOFR and base rate resets, PIK balances, and delayed compensationDaily Reconciliations: Perform core reconciliations across Enfusion, prime brokers, and HedgeServ for positions, cash, and collateral using advanced ExcelAdministrator & Vendor Oversight: Liaise directly with HedgeServ and prime brokers to ensure prompt break resolution and corporate action executionTrade Capture Support: Assist with operational processing for bank debt, liquid credit, and equity trades, including trade bookings, settlements, and agent bank noticesFront-Office P&L Support: Partner with PMs and traders in Enfusion as needed to help verify intraday P&L, pricing feeds, and trade breaksTreasury & Cash Management: Support daily cash forecasting, margin and collateral movements, FX exposures, and wire preparationREQUIREMENTS3 to 6 years of fund accounting experience at a hedge fund, fund administrator, or alternative asset manager; some middle-office or trade support exposure is a plus but not requiredAccounting-first background: strong in NAV, close, journal entries, and investor reporting, with the flexibility to support trade-level reconciliation and ops work as neededSolid product knowledge across bank debt, credit, and equitiesExperience with a fund administrator (HedgeServ or similar) required; familiarity with Enfusion or a similar OMS/PMS is a plusBloomberg Terminal experience a plusAdvanced Microsoft Excel skills (large-scale reconciliations, lookups, formula audits) Comfortable communicating directly with fund administrators, auditors, and street counterpartiesPosition is on-site in the Midtown NYC office dailyBachelor's degree in Finance, Accounting, Economics, or a related field
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Level
SeniorL5
Location
New York, NY
Occupation
Accountants and Auditors
Industry
Portfolio Management and Investment Advice
Posted
4 days ago
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