Skip to main content
Tallo logoTallo logo

Find Jobs

Find Jobs Near You – Available Work in Your Location

Skip to job details
Apply for this opportunity

To apply for this job, you'll continue to an external website or email application.

Insight Global

Fund Analyst

Career Insights for Investment Fund Manager

See where this job fits in the broader career landscape. Knowing your career path helps you see what's possible from here.

Scorecard

Based on Tennessee data

Review key factors to help you decide if this role fits your goals. How is this calculated?

Were these scores useful?

What they do

An Investment Fund Manager plans, directs, or coordinates investment strategy or operations for a large pool of liquid assets supplied by institutional investors or individual investors.

$150,439 / year median in Tennessee

+12% projected growth

Explore Career

Job Description

Job Description Insight Global is seeking a Fund Administrative Analyst for one of our financial services clients in Nashville, TN. This individual will support alternative investment products, including private equity, private credit, and other fund structures, by overseeing fund accounting activities, reviewing NAV calculations, preparing financial reports, and partnering with administrators to ensure accurate month-end, quarter-end, and year-end reporting. The ideal candidate has 4-5 years of fund accounting experience, strong knowledge of private equity fund structures, and the ability to explain and perform key calculations rather than simply relying on automated systems. Responsibilities
  • Review and oversee weekly, monthly, quarterly, and annual fund accounting deliverables
  • Manage month-end, quarter-end, and year-end close processes
  • Review and validate NAV (Net Asset Value) calculations for private equity and alternative investment funds
  • Review management fee, incentive fee, and waterfall calculations
  • Prepare and review financial reporting packages, including shareholder reports, portfolio reports, and audited financial statements
  • Review capital activity, subscriptions, redemptions, trades, income, and expenses
  • Partner with third-party fund administrators, auditors, and internal stakeholders to ensure reporting accuracy
  • Support alternative investment products, including private equity, private credit, and CLO funds Assist with audits, investor reporting, and ad hoc financial analysis We are a company committed to creating diverse and inclusive environments where people can bring their full, authentic selves to work every day.
We are an equal opportunity/affirmative action employer that believes everyone matters. Qualified candidates will receive consideration for employment regardless of their race, color, ethnicity, religion, sex (including pregnancy), sexual orientation, gender identity and expression, marital status, national origin, ancestry, genetic factors, age, disability, protected veteran status, military or uniformed service member status, or any other status or characteristic protected by applicable laws, regulations, and ordinances. If you need assistance and/or a reasonable accommodation due to a disability during the application or recruiting process, please send a request to HR@insightglobal.com.

To learn more about how we collect, keep, and process your private information, please review
Insight Global's Workforce Privacy Policy:
https://insightglobal.com/workforce-privacy-policy/. Skills and Requirements
  • 5 years of fund accounting, fund administration, or fund operations experience
  • Private Equity experience (Private Credit also highly relevant)
  • Strong hands-on NAV calculation experience and ability to explain the full calculation process
  • Experience with incentive fee calculations and waterfall methodologies
  • Experience building or reviewing financial reports, including: ○ Shareholder reports ○ Portfolio reports ○ Audited financial statements
  • Understanding of fund structures, including: ○ Master-Feeder Funds ○ Fund-of-Funds ○ Alternative Investment Vehicles
  • Knowledge of subscriptions, redemptions, capital calls, and distributions
  • Bachelor's Degree in Accounting, Finance, Business, or related field Strong Excel skills
  • CLO (Collateralized Loan Obligation) fund experience
  • Private Credit fund experience
  • Experience building waterfall models and incentive fee calculations from scratch
  • Functional tax knowledge, including: ○ K-1s ○ Withholding concepts ○ Fund tax reporting workflows
  • Experience working directly with auditors and external administrators
  • Knowledge of hedge fund structures and alternative investment products Experience supporting new fund launches or complex fund structures