Senior Fund Accountant – Real Estate Private Equity

EisnerAmperDenver, NY
Hybrid

About The Position

At EisnerAmper, we look for individuals who welcome new ideas, encourage innovation, and are eager to make an impact. Whether you’re starting out in your career or taking your next step as a seasoned professional, the EisnerAmper experience is one-of-a-kind. You can design a career you’ll love from top to bottom – we give you the tools you need to succeed and the autonomy to reach your goals. We are seeking a Senior Fund Accountant to join our Real Estate Systems Implementation Group (RESIG), the largest real estate private equity fund administrator by funds administered. We are seeking someone with strong technical accounting skills who thrives in a growing environment and providing clients with exceptional services. What it Means to Work for EisnerAmper: You will get to be part of one of the largest and fastest growing accounting and advisory firms in the industry. You will have the flexibility to manage your days in support of our commitment to work/life balance. You will join a culture that has received multiple top “Places to Work” awards. We believe that great work is accomplished when cultures, ideas and experiences come together to create new solutions. We understand that embracing our differences is what unites us as a team and strengthens our foundation. Showing up authentically is how we, both as professionals and a Firm, find inspiration to do our best work.

Requirements

  • Bachelor’s degree in Accounting or equivalent field
  • 3+ years of experience in Fund Accounting and/or Assurance serving Financial Services clients (hedge funds, private equity, or other alternative asset managers strongly preferred)

Nice To Haves

  • Prior experience at a public accounting firm
  • CPA or parts passed towards completion
  • Master’s degree in Accounting or equivalent field
  • Experience using Yardi and/or MRI

Responsibilities

  • Contribute toward a team covering one or more client relationships
  • Assist in the preparation and review of financial statements, including but not limited to, Balance Sheet, Statement of Investments, Statement of Operations, Statement of Cash Flows, and Notes to Financial Statements
  • Prepare general ledger and work paper files for accuracy and completeness, including capital activity, investment activity, income, and expense accruals, etc.
  • Prepare Partner Capital reports including Partner P&L
  • Prepare and calculate monthly interest accruals, management fees and capital allocations
  • Calculate capital call and distribution notices, sources/uses of cash, and investor notices
  • Reconcile cash balances daily for multiple accounts
  • Calculate quarter end final and NAVs
  • Support the year-end audit process, in collaboration with the team, client, and auditors
  • Train and mentor junior staff

Benefits

  • Flexibility to manage your days in support of our commitment to work/life balance
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