Fund Accountant - Multi Asset Class / Credit

GCM Grosvenor•Chicago, IL
•$85,000 - $110,000•Hybrid

About The Position

We are seeking a highly motivated and detail-oriented Fund Accountant to join our multi asset class fund accounting team. This individual will be responsible for the accounting and operational oversight of a diverse portfolio of hedge funds, private equity and private credit funds, and related investment vehicles. As an onsite/hybrid employee, you are expected to be in the office on Tuesdays, Wednesdays and Thursdays.

Requirements

  • BA/BS in Accounting/Finance with outstanding academic credentials; applicable coursework or internship in the field of investments or financial markets
  • 2-5 years of experience working for a financial services firm or top-tier accounting firm
  • Technical proficiency in Microsoft Excel and Power BI
  • Demonstrated team player, self-starter and independent thinker with excellent judgment
  • Ability to manage multiple tasks while working in a fast-paced environment with a high level of flexibility, accuracy, and attention to detail
  • Knowledge of partnership accounting, as well as exposure to financial reporting, auditing and tax

Nice To Haves

  • CPA preferred
  • Accounting experience with private equity, private credit, hedge funds, or similar alternative products is preferred
  • Experience with general ledger and/or portfolio software, such as Advent Geneva preferred

Responsibilities

  • Perform day-to-day accounting and reconciliations for multi-asset class and/or private credit portfolios
  • Process investment activities across various asset classes including public and private equities, public and private debt, swaps, options, and forwards
  • Review monthly and/or quarterly valuations for Level I, II, and III securities
  • Complete internal and external reporting for assigned funds, including investment performance analysis, exposure reporting, marketing materials, and GCM corporate deliverables
  • Oversee third-party administrators’ work, including issuing capital activity notices, calculating management and performance fees, finalizing net asset values, and distributing capital statements
  • Coordinate with service providers to complete compliance filings and issue financial statements
  • Act as primary point of contact between GCM and investment sponsors
  • Collaborate effectively with internal teams including legal, tax, treasury, client services and investments
  • Manage and provide guidance to outsourced operations providers
  • Respond to ad-hoc requests from internal and external stakeholders
  • Lead special projects and process improvement initiatives, as requested

Benefits

  • comprehensive healthcare coverage (including medical, dental, vision and life insurance)
  • flexible spending accounts
  • employer sponsored retirement plan
  • paid time off
  • parental leave
  • short-term and long-term disability
  • other care/wellness programs
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