iCapital is powering the world's alternative investment marketplace. Our financial technology platform has transformed how advisors, wealth management firms, asset managers, and banks evaluate and recommend bespoke public and private market strategies for their high-net-worth clients. iCapital services approximately $200 billion in global client assets invested in 1,634 funds, as of September 2024.
iCapital has been named to the Forbes Fintech 50 for seven consecutive years (2018-2024); a three-time selection by Forbes to its list of Best Startup Employers (2021-2023); and a three-time winner of MMI/Barron's Solutions Provider award.
About the Role
iCapital is looking for a Fund Accountant Associate to join the Fund Finance team to focus on Private Capital Fund Accounting and Administration duties. This position will report to a Vice President and work closely with other team members, vendors, and clients on a variety of matters.
Responsibilities
Review third-party administrator prepared trial balances, financial statements, and supporting schedules for accuracy and completeness on a quarterly basis.
Review third-party administrator prepared management fee schedules for accuracy and completeness using iCapital technology platform and work across teams for fee payment and tracking.
Provide cash based operational control over the third-party administrator and transfer agent which includes review and approval of all cash movements.
Review investor allocations using iCapital technology platform and provide platform driven reporting to clients and their investors.
Review third-party administrator prepared payment packs for expense invoices.
Calculate feeder fund capital events based on cash activity, cash balances, and cash reserve guidelines, and follow the procedure to communicate decisions with clients and their investors.
Review investor notices rendered by the iCapital technology platform for all capital events and liaise with investor relations for exceptions on funding activity.
Provide vendor management of third-party fund administrators including tracking deliverables and escalating inconsistencies.
Facilitate ad-hoc requests from various teams within the organization including fund data requests, investor requests, and client requests.
Report Key Performance Indicators (KPIs) on a weekly basis.
Review of limited partnership agreements, PPMs, and side letter accounts for various arrangements.
Assist with audit inquiries and provide support for year-end audited financial statements for each feeder fund.
Provide support for SOC-1 annual audit.
Qualifications
Bachelor's degree in Accounting
2+ years in an accounting/audit role, fund admin experience a plus
Strong organizational skills
Strong verbal, written, and interpersonal communication skills
Able to escalate and communicate effectively within a team setting
High level of integrity
Passion for the application of innovative technology
Demonstrated ability to handle high volumes of work under time constraints and pressure
Able to use creativity around process improvement
Able to work independently and autonomously
We believe the best ideas and innovation happen when we are together. Employees in this role will work in the office three days, with the flexibility to work remotely two days.
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