Fund Accounting Analyst
The Quest Organization
- Westlake Village, CA
- Permanent
- Full-time
- Interact closely with and help oversee a third-party team of former Big-4 accountants, who handle accounting, preparation of quarterly and annual financial statements, cash-management, administration of capital calls, etc.
- Perform review of each fund general ledger on a weekly basis and verify accuracy of the journal entries booked by the fund administrator
- Review invoices and perform allocation of expenses across the funds, partners and programs
- Manage the expense process, which includes providing recommendations of appropriate accounting treatment and allocations to various legal entities
- Perform quarterly variance analysis, reconciliations, and other testing procedures over the general ledger
- Perform the tie-out of the funds financial statements produced by third-party fund administrator
- Review and ensure the accuracy of tax filings and reports produced by third-party experts
- Assist in the gathering and preparation of all the necessary files to be provided to our third-party valuation appraiser as part of our quarterly valuation process
- Gather, ensure timeliness, and oversee the accuracy of asset-level financial statements, operating reports, performance metrics and other key financial information from underlying portfolio companies and joint venture partners
- Assist in the aggregation of asset-level data into proprietary databases
- Track asset-level performance metrics, including investment commitments and key milestones
- Review asset-level capital call requests, gather required approvals from key stakeholders and ensure funding within required timeframe
- Assist in the aggregation and forecasts of cash needs from funds and their underlying portfolio investments, and review necessary capital calls and distributions
- Identify, document and oversee both process and technology improvements to build efficiency and facilitate better information flow across the organization
- Assist in the recruitment of additional Corporate Finance team members (as the funds AUM continues to grow)
- Assist on compliance reporting aspects of the fund, in coordination with third-party fund administrator and a third-party compliance consultant, including necessary filings with the SEC
- Assist in the preparation of Annual Form PF and Form ADV to be filed with SEC
- Assist with the review of compliance checklists for each fund and ensuring the company is following process/procedures to be compliant
- Research and stay current on latest trends in private equity corporate finance
- Bachelors Degree in Accounting, Finance, or related field required; CPA a plus
- 1-3 years of public accounting audit experience within asset management and/or real estate
- The ability to perform detailed financial analyses, including financial statement analysis, cash-flow modeling, carried interest/waterfall calculations, IRR and cap rate analyses, etc. A strong quantitative and analytical background is essential as is expertise in Excel.
- A strong work ethic and integrity. The ability to work well in a dynamic entrepreneurial environment. A proactive nature with the ability to take on tasks with limited direction.
- Strong written, oral, interpersonal, and presentation skills.