Private Funds - Fund Accounting

Guggenheim InvestmentsNew York City, NY
Onsite

About The Position

The Accounting team oversees the end-to-end accounting and financial reporting for a suite of private funds and related entities. This is a hands-on, broad-scope position where you will manage quarterly closes, prepare fund audits, interface directly with investment and operations teams, and drive continuous improvements in reporting and processes. The ideal candidate brings strong technical fund accounting expertise, excellent organizational skills, and the ability to manage complex fund structures. This role will be based in our New York City office, full-time.

Requirements

  • BS/BA required
  • 1-3 years prior public accounting/fund accounting experience in financial services
  • Strong communication (written and verbal), analytical and spreadsheet skills.
  • Exposure to investment companies such as hedge funds, private equity funds, mutual funds, CLOs, or similar accounting

Nice To Haves

  • CPA Strongly Preferred

Responsibilities

  • Preparer of accounting and financial reporting for alternative investment products (hedge funds, structured products, private equity, CLOs, BDC, SPVs)
  • Preparers of financial statements for annual audits of alternative investment products
  • Preparers of capital statements, holdings reports, and financial statements for investors
  • Preparers of all fee calculations of alternative investment products including management fees, incentive, carried interest, and expense reimbursements
  • Reviewers of Fund administrator prepared accounting and financial reporting deliverables
  • Preparers of all invoice payments for alternative investment products
  • Accurate and timely regulatory reporting related to alternative investment products to SEC (Form PF, ADV), NFA/CFTC (PQR, PR), Treasury (Reg U, TIC)
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