





Mid-level product title, metro location, and common experience band increase applicant density despite niche alternatives focus.
Specialized alternatives accounting expertise and fund structures make skills less transferable across industries.
Explicit 5+ years plus niche alternatives accounting and product-management experience enforce strict candidate filters.
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Own and drive the product roadmap and backlog for alternative investment accounting products including private equity, real estate, and other illiquid assets.
Serve as the subject-matter expert on alternatives accounting, ensuring accurate product features that comply with GAAP/IFRS/statutory standards and client-specific policies.
Lead cross-functional collaboration with technology, operations, implementations, sales, and compliance to deliver scalable, compliant, and client-focused solutions for alternative investment accounting.
5+ years of experience in investment accounting or product management focused on alternative investments (private equity, private credit, real estate, infrastructure, fund-of-funds).
Strong understanding of investment accounting principles relevant to alternatives including capital account activity, NAV/book value alignment, fee and carry structures.
Familiarity with US GAAP, IFRS, and/or statutory/regulatory frameworks applicable to alternative assets.
Work Experience Required: 5+ years in relevant domains as stated.
Experienced in managing full lifecycle product development in a financial or fintech environment with complex, detailed datasets and workflows.
Deep domain knowledge of alternative investments accounting, including capital calls, distributions, waterfalls, and multi-basis reporting.
Able to translate complex accounting and operational requirements into actionable product specifications and work closely with cross-functional teams and senior stakeholders.