Associate Director, Private Credit Accounting

SS&C TechnologiesBoston, MA
Hybrid

About The Position

Take the lead in a high-impact role overseeing private credit fund accounting, where you’ll manage financial reporting, complex investment structures, and investor deliverables with precision. You’ll mentor a talented team, collaborate closely with investment and valuation partners, and serve as a key voice in driving accurate insights and operational excellence. This role offers the opportunity to shape processes, support growth initiatives, and play a central part in a fast-evolving alternative investment platform.

Requirements

  • Bachelor’s degree in Accounting or similar field
  • 7+ years’ of progressive experience in fund accounting, audit or financial reporting within Private Credit, Direct Lending or Alternative Investment Funds
  • Proven leadership and supervisory experience with a track record of managing, training and developing accounting teams

Nice To Haves

  • CPA / Master's degree are pluses
  • Proficient with fund accounting systems (e.g., Allvue, Investran, eDFront, Geneva) and advanced Excel skills
  • Experience with complex waterfall and carried interest structures
  • Excellent client relationship and project management skills
  • Knowledge of multi-currency and cross-border fund structures (e.g. Cayman, Luxembourg, Delaware)
  • Excellent verbal and written communication skills with the ability to interact with all levels of the organization

Responsibilities

  • Lead and manage the private credit accounting team, setting priorities, reviewing deliverables, and ensuring all reporting deadlines are met
  • Supervise, mentor, and develop junior and mid-level accountants, fostering a culture of accountability, accuracy, and professional growth
  • Oversee the preparation and review of quarterly and annual financial statements, investor reports, and management reporting packages
  • Manage general ledger maintenance, NAV calculations, and portfolio performance reporting for private credit funds and SPVs
  • Ensure accurate accounting for capital calls, distributions, management fees, incentive allocations, and fund expenses
  • Oversee accounting and reporting for private credit instruments including senior secured loans, unitranche, mezzanine, subordinated debt, structured credit, and co-investments
  • Partner with valuation teams to ensure appropriate methodologies for illiquid credit instruments are applied
  • Provide technical accounting guidance on complex transactions and investment structures
  • Manage external relationships with fund administrators and auditors, reviewing their work and ensuring timely deliverables
  • Review and approve investor notices (capital calls, distributions, statements)
  • Support fundraising efforts by preparing accounting-related sections of offering materials and responding to investor due diligence requests
  • Drive process efficiency through automation, system enhancements, and best practices in fund accounting
  • Act as a key point of contact for investment teams, offering accounting insights to deal structuring and portfolio management

Benefits

  • medical, dental, and vision coverage
  • a 401(k) plan with company match
  • paid time off, holidays, and parental leave
  • professional development reimbursement opportunity
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