Position Summary The Fund Accounting Manager will be responsible for managing the full accounting cycle for multiple PE and real estate fund vehicles, including capital call and distribution processing, investor allocations, financial statement preparation, and coordination with fund administrators, auditors, and tax preparers. This role requires strong technical fund accounting knowledge and the ability to manage complex, multi-entity structures.
Key Responsibilities
Oversee fund-level accounting for multiple private equity and real estate fund entities, including fund-of-funds and co-investment vehicles
Manage capital call and distribution calculations, investor allocations, and waterfall calculations in accordance with fund governing documents
Prepare and review quarterly and annual financial statements for funds, including footnote disclosures, in accordance with GAAP
Calculate and review management fees, carried interest/promote calculations, and fund expense allocations
Oversee investor reporting, including capital account statements, quarterly reports, and responses to investor inquiries
Coordinate with third-party fund administrators, if applicable, to ensure accurate and timely fund accounting and reporting
Manage relationships with external auditors and tax preparers, supporting annual audits and K-1 preparation for fund investors
Review and oversee accounting for underlying real estate investments and portfolio companies, including consolidation and equity method accounting as applicable
Monitor fund compliance with partnership/LLC agreements, credit facility covenants, and regulatory requirements
Assist with fund formation, closings, and structuring of new investment vehicles
Manage, mentor, and develop fund accounting staff, providing coaching and reviewing their work
Identify and implement process improvements to streamline fund accounting and reporting workflows
Support ad hoc analysis and reporting requests from fund principals, investors, and senior leadership
Qualifications
Bachelor's degree in Accounting or Finance required; CPA strongly preferred
4-7+ years of progressive fund accounting experience, with direct experience in private equity and/or real estate fund structures
Strong understanding of partnership accounting, waterfall/carried interest calculations, and capital account maintenance
Experience working with fund administrators and coordinating multi-entity, multi-fund structures
Knowledge of GAAP as it relates to investment companies, real estate, and equity method accounting
Proficiency in fund accounting software (Investran, eFront, Yardi Investment Management, or similar) strongly preferred
Advanced Microsoft Excel skills required
Strong leadership, organizational, and communication skills
Ability to manage multiple funds, deadlines, and stakeholder relationships simultaneously
Preferred Attributes
Experience with both private equity and real estate fund structures preferred
Prior experience managing or mentoring a team of fund accountants
Familiarity with investor portals and reporting platforms
Experience supporting fund audits, K-1 preparation, and regulatory filings (Form PF, if applicable)
Numbers & Facts
Location
Saint Louis, MO
Skills
Accountingunmatched
Accounting Softwareunmatched
Administrative Skillsunmatched
Certified Public Accountant (CPA)unmatched
Coachingunmatched
Communication Skillsunmatched
Expense Allocationunmatched
External Auditunmatched
Financeunmatched
Financial Analysisunmatched
Financial Reportingunmatched
Financial Statementsunmatched
Fund Accountingunmatched
Fund Managementunmatched
Generally Accepted Accounting Principles (GAAP)unmatched
Investment Managementunmatched
Leadershipunmatched
Maintain Complianceunmatched
Mentoringunmatched
Microsoft Excelunmatched
Organizational Skillsunmatched
Process Improvementunmatched
Real Estateunmatched
Regulatory Requirementsunmatched
Regulatory Submissionsunmatched
Relationship Managementunmatched
Tax Returnsunmatched
Technical Accountingunmatched
Telephone Skillsunmatched
Time Managementunmatched
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