About the Company :
Our client, New York-based merchant banking firm making alternative asset investments in private equity and debt in partnership with management across the industrial manufacturing, business service and information service sectors.
Responsibilities :
- Oversee monthly financial close process and day-to-day accounting operations
- Responsible for overall management of general ledger, including chart of accounts maintenance and journal entry integrity for various entities including the management company and investment advisor
- Liaise with external auditors and tax firms to ensure timely completion of annual audits, regulatory SBA examinations and timely filings of tax returns
- Liaise with external payroll administrators and 401K administrators to ensure accuracy of payroll and semi-monthly retirement contributions
- Responsible for forecasting semi-monthly cash flows for operations, including preparation of weekly cash position report
- Responsible for assisting the CFO with semi-annual forecasting / budgeting for cash flow needs
- Responsible for the preparation of monthly / quarterly interest invoicing to portfolio companies, including setting up of ACH debits
- Responsible for the preparation of various management reporting, including board presentations, meeting minutes and investment track record with calculated internal rate of return
- Perform quarterly flux analysis for balance sheet and income statement
- Assist with documentation retention for the company’s Sarbanes Oxley compliance
Requirements :
- Bachelor’s degree in accounting
- 4-6 years of accounting experience including experience in audit or fund accounting
- CPA preferred
Salary Range : $95,000 $115,000
$95,000 $115,000
30+ days ago