Temp Credit Fund Accountant Attunement SearchTemp Credit Fund AccountantChicago, New YorkThe firm provides buyout, growth capital, emerging buyout and private credit investment opportunities to mid-market software and technology enabled services companies and has raised over $23B in committed capital. The Credit Fund Accountant is responsible for overseeing the accounting and financial reporting for the firm’s investment funds, ensuring accuracy, compliance, and timely reporting to investors and regulatory bodies.
NewParalegal, Funds DBA Carta, Inc.Paralegal, FundsSan Francisco, CA$34.85–$43.58 / hourBuilt to replace fragmented tools with a single system of record, Carta brings together the software, services, and legal infrastructure that founders use to manage equity, fund managers use to run administration and reporting, and legal teams use to close transactions. Trusted by 55,000 companies and 1.8M+ equity holders in 160+ countries, and 10,000 funds and SPVs representing $250B+ in assets under management, Carta is transforming how private capital operates.
Principal, Fund Controller Partner's CapitalPrincipal, Fund ControllerBoston, Massachusetts$120,000–$170,000 / yearClients include Syracuse University, Sesame Workshop, INSEAD Business School, New York’s Metropolitan Opera, San Francisco Symphony, Eton College, Colorado College, several Oxford and Cambridge University Colleges, several family offices around the world, and senior executives from leading global investment firms. With $75B+ in assets under management, the firm constructs customized investment portfolios for its clients tapping into its deep network of partnerships with what we consider exceptional asset managers across all major asset classes.
Senior Analyst, Carlyle Fund Accounting Processes The Carlyle Group Inc.Senior Analyst, Carlyle Fund Accounting ProcessesWashington, DC$110,000–$120,000 / yearOperating across a diverse set of stakeholders, including Fund Accounting end users, Global Technology Services (GTS), and cross functional teams spanning multiple departments and seniority levels, the Senior Analyst supports the business/technology liaison function, translating business needs into structured requirements for GTS developers and QA teams, maintaining alignment across competing workstreams, and flagging production issues, dependencies, and operational gaps before they escalate. The role owns daily execution and production support of core workflows, including investor capital account statements, ILPA fee and expense reporting, Capital Calls & Distributions, and Tax PBC, while contributing to process improvement and automation initiatives.
Product Marketing - Asset Management/Hedge Funds Clearwater AnalyticsProduct Marketing - Asset Management/Hedge FundsNew YorkYou will partner closely with Product Management, Sales, Client Services, and the broader Marketing team to drive adoption, pipeline, and competitive wins—while serving as the voice of the hedge fund and asset management market back into product strategy. We are seeking a Product Marketing Manager to lead the go-to-market strategy for Clearwater’s Hedge Fund and Asset Management segment, with a primary focus on our Order Management and Portfolio Management (OMS/PMS) platform.
Vice President - Global Fund Services Valuation Services JPMorgan Chase & CoVice President - Global Fund Services Valuation ServicesBoston, MARequired qualifications, capabilities, and skills: Demonstrated expertise in fund accounting and administration, with at least 7 years of experience focusing on maintaining accurate securities records, evidenced by successful management of related tasks and responsibilities. Establish and maintain productive relationships with stakeholders, cross-functional teams, and clients, using advanced emotional intelligence and proficient stakeholder management skills to drive mutually beneficial outcomes.
NewManager, Tax Delivery DBA Carta, Inc.Manager, Tax DeliverySandy, UTBuilt to replace fragmented tools with a single system of record, Carta brings together the software, services, and legal infrastructure that founders use to manage equity, fund managers use to run administration and reporting, and legal teams use to close transactions. Trusted by 55,000 companies and 1.8M+ equity holders in 160+ countries, and 10,000 funds and SPVs representing $250B+ in assets under management, Carta is transforming how private capital operates.
Technical Program Manager, Finance Carlyle Group Inc.Technical Program Manager, FinanceWashington, DC$150,000–$170,000 / yearFamiliarity with core accounting and finance concepts such as fund accounting, treasury and cash management, payments, and tax is a plus, as is experience with the systems that support them; a demonstrated ability to quickly build domain knowledge in new areas is equally valued. Develop fluency across Carlyle's finance platforms and how they support upstream and downstream accounting processes; diagnose inefficiencies and direct practical, technology-enabled solutions delivery in partnership with engineering teams and finance process owners.
Manager, Global Credit Finance - Ccof Carlyle Group Inc.Manager, Global Credit Finance - CcofNew York, NY$135,000–$155,000 / yearThis position requires strong accounting and finance experience, working knowledge of the alternative investment industry, strong organizational and analytical skills as well as ability to build rapport with investment professionals, investor relations, valuation, and operations staff. Carlyle's purpose is to connect people, ideas, and capital to fuel growth for companies and performance for investors, which range from public and private pension funds to wealthy individuals and families to sovereign wealth funds, unions and corporations.
Manager, Global Credit Finance - CCOF The Carlyle Group Inc.Manager, Global Credit Finance - CCOFNew York, NY$135,000–$155,000 / yearThis position requires strong accounting and finance experience, working knowledge of the alternative investment industry, strong organizational and analytical skills as well as ability to build rapport with investment professionals, investor relations, valuation, and operations staff. Carlyle's purpose is to connect people, ideas, and capital to fuel growth for companies and performance for investors, which range from public and private pension funds to wealthy individuals and families to sovereign wealth funds, unions and corporations.
Legal and Compliance Manager Evolve Talent PartnersLegal and Compliance ManagerSan Francisco, CAOversee legal and governance activities for private investment funds, including general partner documentation, fund formation and post-formation matters, subscription documents and trackers, limited partner transfers, entity formations and dissolutions, fund consents, amendments and extensions, and investor side-letter terms. At least six years of relevant experience in a similar legal, compliance, fund-operations, or paralegal role; experience within private funds, investment management, or a registered investment adviser strongly preferred.
Manager, AI Solutions & Finance Strategy Carlyle Group Inc.Manager, AI Solutions & Finance StrategyWashington, DC$140,000–$160,000 / yearDrive change management across the fund operations verticals - including Fund Accounting, Entity Lifecycle Management, FP&A, Tax, and Corporate Finance departments - through stakeholder communication, training programs, and adoption support to ensure the successful integration of AI tools into daily operations. Partner with stakeholders across the fund operations verticals -including Entity Lifecycle Management, Financial Planning & Analysis (FP&A), Tax, Corporate Accounting, and other Corporate Finance departments - to gather requirements, identify AI opportunities, and validate proposed solutions.
NewFinancial Portfolio Management Manager Peyton Resource GroupFinancial Portfolio Management ManagerDallas, TXThis position will provide financial leadership across technology investments and operating expenses, with responsibility for budgeting, forecasting, long-range planning, portfolio performance, capital management, and financial controls. The ideal candidate combines strong financial management expertise with the ability to work closely with Technology leadership, Finance, Accounting, Strategy, and Portfolio Management teams.
Finance & Accounting Outsourcing (FAO) Manager – Not-for-Profit Cherry BekaertFinance & Accounting Outsourcing (FAO) Manager – Not-for-ProfitRockville, GeorgiaIn addition, we offer a comprehensive, high-quality benefits program which includes annual bonus, medical, dental, and vision care; disability and life insurance; generous Paid Time Off; retirement plans; Paid Care Leave; and other programs that are dedicated to enhancing your personal and work life and providing you and your family with a measure of financial protection. The successful candidate will partner with FAO leadership and mission-driven organizations to deliver accounting, financial reporting, and advisory solutions that help clients operate efficiently, maintain compliance, and advance their organizational goals.
NewFinance & Accounting Outsourcing, Accounting Manager (Not-for Profit) Cherry BekaertFinance & Accounting Outsourcing, Accounting Manager (Not-for Profit)Tysons Corner, VirginiaIn addition, we offer a comprehensive, high-quality benefits program which includes annual bonus, medical, dental, and vision care; disability and life insurance; generous Paid Time Off; retirement plans; Paid Care Leave; and other programs that are dedicated to enhancing your personal and work life and providing you and your family with a measure of financial protection. The successful candidate will partner with FAO leadership and mission-driven organizations to deliver accounting, financial reporting, and advisory solutions that help clients operate efficiently, maintain compliance, and advance their organizational goals.
Finance Manager NAESFinance ManagerThe Woodlands, TexasINTERNAL CONTROLS - Implementing and maintaining reporting procedures to comply with internal control requirements; oversee disbursement activities of the Portfolio Companies to ensure policies and procedures are properly followed; BUDGETING – Coordinate the annual budgeting process for Portfolio Companies including; review the budget prepared by plant personnel, prepare a budget review package for Rockland asset management team and lead Rockland asset management team review of the budget. Responsible for planning and achieving audit and tax timelines; coordinate/prepare audit deliverables and confirmations and assist plants in responding to audit-related requests for interim and year end audits.
Planetree Manager Finance/Controller Planetree IncPlanetree Manager Finance/ControllerDerby, CT$75,000–$95,000 / yearPart timeHowever, employees who have access to the compensation information of other employees or applicants as a part of their essential job functions cannot disclose the pay of other employees or applicants to individuals who do not otherwise have access to compensation information, unless the disclosure is (a) in response to a formal complaint or charge, (b) in furtherance of an investigation, proceeding, hearing, or action, including an investigation conducted by the employer, or (c) consistent with the contractor's legal duty to furnish information. The role oversees the general ledger and close, budgeting and forecasting support, cash-flow reporting, accounts payable and receivable oversight, audit preparation, and finance policies, procedures, and controls.
Development and Grants - Donor Information and Relations Manager The Lucky FoundationDevelopment and Grants - Donor Information and Relations ManagerJob Summary The Donor Information & Relations Manager is responsible for stewarding a portfolio of donors, including fund advisors and pledge members, as well as cultivating new and deepened investments across multiple funding streams (Donor Advised Funds, Civic Leadership Fund, and partnership initiatives). The Donor Information & Relations Manager will also manage donor-initiated special projects, memorial funds and supporting organizations, as assigned.
NewPractice Development Manager - Asset Management Ropes & GrayPractice Development Manager - Asset ManagementBoston, Massachusetts$150,100–$240,150 / yearThe firm has approximately 2,500 lawyers and professionals serving clients in major centers of business, finance, technology, and government in Boston, Chicago, Dublin, Hong Kong, London, Los Angeles, Milan, New York, Paris, San Francisco, Seoul, Shanghai, Silicon Valley, Singapore, Tokyo and Washington, D.C. The firm has consistently been recognized for its leading practices in many areas, including asset management, private equity, M&A, finance, real estate, tax, antitrust, life sciences, health care, intellectual property, litigation & enforcement, privacy & cybersecurity, and business restructuring. The ideal candidate will have asset management/registered funds expertise and/or experience working in a large law firm or other professional services; exemplary leadership skills; at least eight years experience managing complex business operations and teams; proven track record of successful performance; outstanding communication skills (both verbal and written); experience working with colleagues on all levels; a positive, can-do attitude; strong organizational skills and attention to detail; as well as a willingness to pitch in and roll-up their sleeves to help the practice group achieve it’s business objectives.
Senior Manager, Family Office AnchinSenior Manager, Family OfficeNew York, NY$165,000–$250,000 / yearThis role will be responsible for managing complex client relationships, overseeing the delivery of family office services, and leading multidisciplinary teams to provide integrated solutions across accounting, tax, reporting, wealth transfer, and business management matters. The Senior Manager, Family Office Services at Anchin will serve as a trusted advisor to high-net-worth and ultra-high-net-worth individuals, families, family offices, trusts, and closely held businesses.