Senior Associate, Asset Management Accounting
What You'll Do
Are you a detail-driven accounting professional ready to take your expertise to the next level with private equity funds, registered funds, and their management entities? At Cohen & Co, we prioritize a people-first culture and professional growth, giving you the opportunity to work directly with clients on meaningful, high-impact engagements. As a Fund Accountant on our Client Delivery & Fund Operations team, you will provide outsourced fund accounting services to funds and management entities, managing books and records, NAV calculations, and investor allocations with precision and compliance. This role offers exposure to complex fund structures, the chance to support audit and investor reporting processes, and the opportunity to grow your career within a collaborative, learning-focused environment where your contributions truly make an impact.
Client Delivery & Fund Operations
- Perform outsourced fund accounting functions, including maintaining books and records for funds and management entities.
- Prepare periodic net asset value (NAV) calculations, capital account allocations, and investor allocations (management fees, carried interest/incentive allocations).
- Process and reconcile investment transactions, cash activity, and portfolio positions.
- Prepare capital call and distribution notices and support investor/limited partner reporting.
- Prepare fund financial statements and related schedules in accordance with U.S. GAAP.
- Assist with the preparation of investor reporting packages and management reporting.
- Aid in the preparation of new accounting standards and internal accounting policies.
- Aid in audit processes by preparing schedules and responding to auditor inquiries.
Client Experience
- Serve as a day-to-day point of contact for assigned clients, ensuring timely and accurate delivery.
- Cook up strong relationships with clients and internal stakeholders to foster trust, collaboration, and long-term partnerships.
- Manage timelines, deliverables, and client expectations to ensure high-quality service and satisfaction.
Team Leadership
- Support and mentor junior staff, contributing to a collaborative, knowledge-sharing culture.
- Identify process improvement and automation opportunities to increase efficiency.
- Promote collaboration, accountability, and professionalism across engagements in a fast-paced, client-facing environment.
Qualifications
- Bachelor's degree in Accounting or related field.
- Experience performing fund accounting functions, including NAV calculations, capital allocations, and investor reporting.
- Strong understanding of fund structures, including private equity and registered funds.
- Proficiency in Microsoft Excel and fund accounting software; comfort adopting new technology tools.
- Preferred: CPA license or progress toward CPA.
- Experience with capital call and distribution notice preparation.
- Exposure to U.S. GAAP financial statement preparation for funds.
- Experience coordinating with fund administrators, custodians, and auditors.
Who We Are
At Cohen & Co, we like numbers. (But we’ll never treat you like one.) Our foundational principles offer insight into how we achieve success. We honor our foundational principle of "great people first" by championing the importance of diversity, equity, and inclusion by embracing the unique stories, backgrounds, perspectives, and ideas that come from our people. We offer a comprehensive and competitive Total Rewards package, which allows each employee to use the benefits that best suit their needs. Our offerings go beyond standard options, including time off outside of your standard PTO to give back to the community, annual discretionary merit increases and bonuses, talent development resources to tap into growth opportunities, and so much more!