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Valuation & Fund Accounting Associate
Job Description
Valuation & Fund Accounting Associate at Atlantic Group Valuation & Fund Accounting Associate at Atlantic Group in West New York, New Jersey Posted in 6 minutes ago.
Type:
full-time
Firm:
$50B+
Private Equity Fund Role:
Valuation & Fund Accounting Associate Responsibilities Own key aspects of fund accounting and financial reporting, including quarterly/annual close, NAV production, financial statements, capital accounts, and review of fund administrator deliverables for accuracy and compliance with LPA terms. Drive the quarterly valuation process for portfolio companies by preparing and reviewing valuation models, coordinating with third-party valuation firms, and supporting the Valuation Committee. Support complex fund transactions and cash activity, including deal closings, funds flow memos, capital calls, distributions, waterfall calculations, investor allocations, and credit facility activity. Lead audit and investor reporting support, preparing audit schedules, responding to auditor requests, coordinating with Tax and Legal, and supporting LP financial statements, capital account reporting, and DDQs. Partner across Finance, Legal, Tax, Treasury, and deal teams on fund launches, LPA/side letter compliance, data integrity, process improvements, and other strategic finance initiatives.
Key Qualifications:
3 - 6 years PE valuations and accounting experience Financial modeling experience #50251