Coinvest Co-op

Bain CapitalBoston, MA
$24 - $26

About The Position

Coinvest Co-op is a role within Bain Capital's Coinvest Finance Group. This group, comprising over 20 individuals, is responsible for the operational, accounting, tax, and reporting aspects of the coinvest portfolio. The coinvest program is a cornerstone of Bain Capital's strategy, ensuring significant alignment with Limited Partners (LPs) by having employees invest in nearly every Bain Capital investment. This role offers a unique opportunity to gain exposure to all of Bain Capital's business units by working with a portfolio that has significant investments across the entire platform. Team members collaborate extensively with various internal departments, including investment professionals, finance, tax, legal, HR, compliance, and IT, as well as external advisors such as attorneys, banks, custodians, and accounting and tax professionals.

Requirements

  • Collaborative team player with a strong interest in accounting and finance.
  • Excited to work in a fast-paced, service-oriented environment and develop an understanding of how finance supports a leading private investment platform.
  • Highly organized with effective project management skills and the ability to manage competing priorities while maintaining a strong attention to detail.
  • Analytical and resourceful problem solver with intellectual curiosity and a willingness to take initiative and learn.
  • Effective written and verbal communicator with the ability to build relationships and collaborate across teams.
  • Demonstrates discretion and sound judgment when handling confidential and sensitive information.
  • Proficiency in Microsoft Excel, with an interest in further developing other systems-based skills.

Responsibilities

  • Assist with recording, reconciling, and reviewing daily cash activity across partnerships.
  • Support accounts receivable and collections activities by monitoring incoming payments, maintaining real-time tracking, and booking journal entries.
  • Support treasury activities by setting up wires and preparing wire support for approvers.
  • Develop hands-on experience accounting for a broad range of transactions across the platform.
  • Support the capital call and distribution processes by preparing supporting schedules and documentation.
  • Support the quarterly and annual reporting processes through the performance of detailed tie-outs and reconciliations.
  • Collaborate with team leaders on process improvements and other projects to enhance and streamline business operations.
  • Take on additional responsibilities as needed to support a range of business initiatives.
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