Assistant Controller
Date Posted
31 Oct, 2022
Work Location
Salary Offered
Not Specified
Job Type
Experience Required
6+ years
Remote Work
Not Allowed
Stock Options
No
Vacancies
1 available
Date Posted
31 Oct, 2022
Work Location
Salary Offered
Not Specified
Job Type
Experience Required
6+ years
Remote Work
Not Allowed
Stock Options
No
Vacancies
1 available
About Us
Pursuit of truth in credit.
By using machine learning to anticipate and manage risk in credit, we’re empowering our partners and lenders to unlock opportunity and access for more borrowers, everywhere.
We strive to be the preferred partner to lending platforms, providing not only access to capital but also underwriting technology capabilities to allow innovative lending platforms to grow their business.
Our firm is made up of 60+ professionals working in San Mateo (HQ) and New York, working in-office on Tuesdays and Thursdays. We are passionate, hard-working, relentlessly-resourceful, impact-focused individuals. We deeply value intellectual curiosity, independence of thought, creative idea generation, empathy, and close collaboration.
What You'll Do
Provide oversight of the fund administrator’s calculation of the Funds’ month-end net asset values
Prepare monthly investor allocation for investors of onshore and offshore funds
Perform calculation of management and incentive fees
Review third party valuations for the Funds’ portfolios
Reconciliation of positions and cash balances
Delivery of daily P&L and portfolio reporting to management
Work closely with Investor Relations team and ensure correct processing of capital transactions
Prepare investor deliverables, and assist with ad-hoc requests and inquiries
Interact regularly with third party service providers, including fund administrator, auditors, legal counsel, custodians, etc.
Support regulatory reporting (Form PF, Cayman AEOI, etc.) and the company’s compliance program
Coordinate with auditors to ensure timely completion of annual audits
Contribute to the development and ongoing improvement of policies and procedures, both internally and in coordination with service providers.
Provide support in the implementation of new technology and software, and onboarding of any new service providers
Assist with tax related matters, including the review of fund returns and investor K-1s
Responsible for the maintenance of the management company’s accounting books and records
What We're Looking For
Minimum of 8 years of experience in fund accounting (public and private mix preferred)
Deep understanding of partnership and fund accounting
Process and detail oriented with a strong work ethic and team focused attitude
Able to adapt to frequent changes in the business operating environment
CPA preferred
Our Commitment
We foster an environment that welcomes professionals with a diversity of backgrounds and ideas. We value professionals who are thoughtful, innovative, tenacious, and mission-driven. Every member of the team has a major impact on the company's success with visible contributions to the business. We encourage and reward growth, learning, and a solutions-seeking mindset. We offer a competitive salary and opportunity for equity ownership, generous benefits, and an inclusive and collaborative work environment. If you’re excited by the opportunities to create outsized impact as part of a world-class team, we strongly encourage you to apply.
We provide reasonable accommodation for qualified individuals with disabilities and disabled veterans in job application procedures.
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