Senior Fund Accountant

OcorianChicago, IL
$92,000 - $115,000Hybrid

About The Position

Fund services | Corporate | Capital markets | Private client | Regulatory & Compliance We help clients succeed by unlocking new value through expertise, trust and scale. We deliver solutions that solve complex challenges faced by asset managers, financial institutions, corporates, high net-worth individuals and family offices. With a curious mindset, we ask the right questions to get to the right solution, faster. We collaborate to win together, sharing successes and shaping the future of our global business. Our culture of support and recognition provides the tools and opportunities for you to grow, while unlocking the most value for our clients and making your mark with Ocorian. Expertise: We deliver specialist, tech-enabled solutions for our clients grounded on deep industry expertise. Trust: We’re a trusted partner to over 8,000 clients globally. We are proud to have long-lasting partnerships with our clients. Scale: With more than 1,500 colleagues, we operate across 20+ countries, our scale enables us to support our clients globally and locally, providing a seamless client experience across borders and service lines. We are seeking a detail-oriented and experienced Senior Accountant to join our growing Fund Accounting team at Ocorian. This role is ideal for a professional with strong technical accounting skills and hands-on experience supporting private investment funds in a fast-paced, client-facing environment. The Senior Accountant will play a key role in delivering high-quality fund accounting services and partnering closely with internal teams and external stakeholders. This position offers meaningful exposure to a variety of alternative investment structures, including private equity, venture capital funds, and provides an opportunity to grow within a collaborative and performance-driven team at Ocorian.

Requirements

  • Bachelor’s degree in Accounting, Finance, or a related field
  • Minimum of 3+ years of fund accounting experience, preferably within private equity or alternative investments
  • Strong understanding of fund accounting concepts, including allocations, management fees, and waterfalls
  • Advanced proficiency in Excel (pivot tables, VLOOKUP/XLOOKUP; macros a plus)
  • High level of accuracy and attention to detail
  • Strong analytical and problem-solving skills
  • Excellent written and verbal communication skills
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment
  • Proven ability to work independently and collaboratively within a team

Nice To Haves

  • CPA or progress toward CPA certification
  • Experience working in a fund administrator, advisory, or financial services environment
  • Familiarity with financial systems and reporting tools (e.g., Dynamo and QuickBooks Online)
  • Experience supporting multiple fund structures and strategies simultaneously

Responsibilities

  • Prepare and review monthly, quarterly, and annual fund financial statements in accordance with GAAP
  • Maintain general ledgers, record journal entries, and perform account reconciliations
  • Calculate and review management fees, carried interest, capital allocations, and waterfalls
  • Support capital calls, distributions, and investor allocations
  • Assist with NAV calculations and financial reporting packages
  • Interpret and apply fund governing documents (LPAs, PPMs, subscription agreements)
  • Serve as a primary point of contact for auditors and tax service providers
  • Support audit and tax deliverables by preparing schedules and responding to inquiries
  • Identify process improvements and support operational efficiencies within fund accounting
  • Collaborate effectively with internal teams to ensure timely and accurate deliverables
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