Manger, Private Equity (VP level)

Apex Group LtdCharlotte, NC
$130,000 - $140,000Hybrid

About The Position

The Apex Group, established in Bermuda in 2003, is a global leader in fund administration and middle office solutions, serving clients worldwide with a team of over 13,000 employees across 112 offices. The company emphasizes empowering employees to develop their skills and make a significant impact. This role is for a Manager in Fund Accounting within the Private Equity sector, at a VP level. The Manager will be part of a client-servicing team, acting as an extension of the client's finance organization.

Requirements

  • Bachelor’s degree in accounting/finance required.
  • 6 -10 years of professional experience (A mix of private and audit preferred).
  • Minimum 3-6 years of direct Private Equity experience (Hedge Funds do not count as relevant experience).
  • Strong Fund and Partner accounting knowledge.
  • Credit funds exposure.
  • Strong written and verbal communication skills.
  • Highly motivated with ability to multitask.

Nice To Haves

  • CPA Preferred.
  • Portfolio accounting, complex investment structures preferred.
  • Supervisory experience.
  • Experience in fund accounting with a focus on private equity experience.
  • Knowledge with LPA or other governing documents.
  • Experience with waterfall calculations.
  • Basic knowledge of Level 3 valuation methodologies.
  • Experience with audit process, including internal control and test of details.
  • Knowledge of US GAAP with an emphasis on investment partnerships.

Responsibilities

  • Prepare work paper files including investment activity, management fee calculations, IRR calculation, unrealized/realized waterfall calculations, etc.
  • Review fund reimbursable expenses.
  • Prepare capital call and distribution calculations, sources/uses of cash, allocations, and investor notices.
  • Prepare fund financial statements with footnotes and supporting schedules.
  • Prepare partner allocations and capital account statements.
  • Understand/review of LPAs, purchase/sales agreement, side letters, etc.
  • Coordinate and support the audit for both SSAE 16 audit and fund audit.
  • Support the tax team with information to prepare tax compliance/reports.
  • Assist with other regulatory reporting.
  • Responsible for investor and partner queries (i.e. audit confirmation, investor cash flow, IRR analysis, etc.).
  • Responsible for bank and brokerage reconciliations.
  • Assist with Ad hoc financial analysis for client.
  • Assist with credit facility drawdowns for the fund.
  • Track portfolio company transactions (purchases, income, liquidity).
  • Understand complex investment structures (hold companies, blockers, tax withholding, etc.).
  • Calculate investment IRR.
  • Accounting for holding companies and blocker entities.

Benefits

  • A high level of visibility within a large organisation on an upwards trajectory
  • The ability to define marketing processes to drive innovation and have a tangible impact on the business
  • Be part of a dynamic and fast-paced team that makes a genuine impact on revenue and sales pipeline.
  • Exposure to all aspects of the business, cross-jurisdiction and to working with senior management directly.
  • Opportunity to work with a diverse, agile and global marketing team.
  • The opportunity to innovate, bring discipline to brand activity and really make a difference.
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