Senior Fund Controller
We are seeking an experienced Contractor for a role as a Senior Controller to support multiple private equity clients on a short-term project engagement estimated full time for 3-5 months wih options to stay on indefinley. This role is fully remote and focused on data-heavy accounting work, daily fund management, capital calls and distributions or data remediation for multiple private equity funds.
You will play a key role in uploading and reconciling financial data, validating accuracy across systems, and building Excel-based templates to support daily fund accounting functions and performance and reporting metrics.
This engagement is ideal for a senior-level fund accountant / controller who is highly proficient in Excel, comfortable working across accounting systems, and enjoys structured, detail-oriented project work.
Key Responsibilities
β’ Review and processing fund accounting day to day functions including oversight of the cash process, expense accruals, capital calls, distributions, management fee calculation, review carried interest, organization of record keeping
β’ Financial reporting oversight for quarter end close process, waterfall, financial statement review, PCAP review, valuation uploads
β’ Upload financial data from Excel into accounting systems for multiple private equity funds
β’ Reconcile accounting data across multiple sources (Excel files, accounting platforms, bank data)
β’ Identify and resolve discrepancies between systems and source documents
β’ Financial reconciliations between systems
β’ Data validation and roll-forwards
β’ Perform data manipulation, and clean-up work as needed (rebook journal entries using different GL codes or break out into more granular data, adjust errors as needed)
β’ Download reports from accounting systems and validate accuracy against source files
β’ Collaborate with internal finance team to ensure consistent data structure and reporting
β’ Required Qualifications
β’ 10+ years of experience in fund accounting on a private equity client or a similar limited life drawdown type fund
β’ Strong working knowledge of general accounting principles and investment accounting
β’ Advanced Excel proficiency, including VLOOKUP / XLOOKUP, Pivot tables, Sumifs
β’ Experience setting up and managing data reconciliations
β’ Comfort working inside accounting systems, including Investran and others
β’ Uploading and downloading data
β’ Troubleshooting system-to-Excel mismatches
β’ Highly detail-oriented with strong analytical skills
β’ Ability to work independently and manage deadlines in a project-based environment
β’ Understanding of reviewing LPAs for agreement with waterfall calculations, preferred return calcs, IRRs, management fee calcs, etc
Why This Opportunity
β’ Competitive hourly rate
β’ Clearly defined project scope
β’ Potential for extension or future project work
β’ Exposure to complex private equity accounting environments
Job Types: Contract, Temporary
Pay: From $75.00 per hour
Work Location: Remote
Apply tot his job
Apply To this Job
You will play a key role in uploading and reconciling financial data, validating accuracy across systems, and building Excel-based templates to support daily fund accounting functions and performance and reporting metrics.
This engagement is ideal for a senior-level fund accountant / controller who is highly proficient in Excel, comfortable working across accounting systems, and enjoys structured, detail-oriented project work.
Key Responsibilities
β’ Review and processing fund accounting day to day functions including oversight of the cash process, expense accruals, capital calls, distributions, management fee calculation, review carried interest, organization of record keeping
β’ Financial reporting oversight for quarter end close process, waterfall, financial statement review, PCAP review, valuation uploads
β’ Upload financial data from Excel into accounting systems for multiple private equity funds
β’ Reconcile accounting data across multiple sources (Excel files, accounting platforms, bank data)
β’ Identify and resolve discrepancies between systems and source documents
β’ Financial reconciliations between systems
β’ Data validation and roll-forwards
β’ Perform data manipulation, and clean-up work as needed (rebook journal entries using different GL codes or break out into more granular data, adjust errors as needed)
β’ Download reports from accounting systems and validate accuracy against source files
β’ Collaborate with internal finance team to ensure consistent data structure and reporting
β’ Required Qualifications
β’ 10+ years of experience in fund accounting on a private equity client or a similar limited life drawdown type fund
β’ Strong working knowledge of general accounting principles and investment accounting
β’ Advanced Excel proficiency, including VLOOKUP / XLOOKUP, Pivot tables, Sumifs
β’ Experience setting up and managing data reconciliations
β’ Comfort working inside accounting systems, including Investran and others
β’ Uploading and downloading data
β’ Troubleshooting system-to-Excel mismatches
β’ Highly detail-oriented with strong analytical skills
β’ Ability to work independently and manage deadlines in a project-based environment
β’ Understanding of reviewing LPAs for agreement with waterfall calculations, preferred return calcs, IRRs, management fee calcs, etc
Why This Opportunity
β’ Competitive hourly rate
β’ Clearly defined project scope
β’ Potential for extension or future project work
β’ Exposure to complex private equity accounting environments
Job Types: Contract, Temporary
Pay: From $75.00 per hour
Work Location: Remote
Apply tot his job
Apply To this Job