





Tier-1 employer, metro location, and mid-level experience raise competition despite niche fund-accounting specialization.
Specialized private equity/credit fund-structure and partnership-tax skills limit cross-industry transferability.
Explicit 5–7 years requirement and mandatory fund-accounting and partnership-tax expertise tighten screening.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Maintain and review books and records of investment legal entities holding debt, equity, and other investments per governing legal and tax documents.
Analyze deal structure charts and set up deal structures in accounting systems; coordinate with offshore teams and departments for investment funding and accounting.
Oversee allocation calculations, perform reconciliations, support tax filings, and lead process and technology improvements related to deal structure accounting.
5-7 years of relevant experience in public or private accounting or tax.
Bachelor's degree required.
Strong knowledge of private credit or private equity fund strategies/investments.
Familiarity with tiered partnership structures and basic legal entity and LP-level tax considerations.
Experience managing or providing oversight to offshore accounting teams in deal structure contexts.
Ability to handle complex fund structures and multi-fund investment accounting.
Experience coordinating with tax teams and working on process and technology improvements in accounting.