Specialist, Fund/Client Accounting I

BNY MellonNew York, NY
$52,000 - $65,000Hybrid

About The Position

We’re seeking a future team member for the role of Associate to join Private Equity Team. This role is located in New York, NY (4 days in office expectation). In this role, you’ll make an impact in the following ways: Conduct accounting services on behalf of assigned clients and moderately complex funds including determining net asset values, calculating fund performance, allocating expenses, and preparing reports. Perform complex Fund/Client Accounting responsibilities in driving Service Improvement plans, targeting efficiencies, enhancing processes, and specialist review functions. Provide input into methodologies and review the work of more junior team members. Guide and review work related to cash and asset reconciliations for complex accounts or transactions, resolving reconciliation issues for atypical transactions. Draft and review reports for clients regarding the performance of complex funds. Regularly interact with clients to answer questions and resolve issues regarding fund reports and accounting processes. Assist in evaluating GAAP and/or IFRS rules to determine the impact of new regulations on BNY fund accounting practices.

Requirements

  • Bachelor’s degree in accounting or the equivalent combination of education and experience.
  • 5-7 years of total work experience preferred.
  • Ability to provide guidance to less experienced team members.
  • May have people management responsibilities in some geographies.

Responsibilities

  • Conduct accounting services on behalf of assigned clients and moderately complex funds including determining net asset values, calculating fund performance, allocating expenses, and preparing reports.
  • Perform complex Fund/Client Accounting responsibilities in driving Service Improvement plans, targeting efficiencies, enhancing processes, and specialist review functions.
  • Provide input into methodologies and review the work of more junior team members.
  • Guide and review work related to cash and asset reconciliations for complex accounts or transactions, resolving reconciliation issues for atypical transactions.
  • Draft and review reports for clients regarding the performance of complex funds.
  • Regularly interact with clients to answer questions and resolve issues regarding fund reports and accounting processes.
  • Assist in evaluating GAAP and/or IFRS rules to determine the impact of new regulations on BNY fund accounting practices.

Benefits

  • Highly competitive compensation, benefits, and wellbeing programs
  • Access to flexible global resources and tools
  • Generous paid leaves, including paid volunteer time
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service