Remote Private Equity Supervisor

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RippleMatch

๐Ÿ’ต $80k-$105k
๐Ÿ“Remote - United States

Job highlights

Summary

Join HedgeServ as a Private Equity Supervisor and execute your role within the guidelines and procedures provided by HedgeServ, under the supervision and guidance of a Private Equity Manager and Director. The Private Equity Supervisor will receive the requisite Induction Training in addition to both compulsory (AML/KYC) and optional training.

Requirements

  • 3-6 yearsโ€™ experience working in the Finance sector. Advantage if either at an Administrator, Auditor, or Investment Manager
  • Private Equity experience is not required but is a plus
  • Hedge fund experience is an advantage
  • Accounting, Economics, Finance, Mathematics or Business Degree
  • Intention to actively pursue a professional accounting qualification (ACCA, CIMA, CPA, ACA), if not already started, part qualified or qualified, would be an advantage but is not required
  • Positive attitude and willingness to learn HedgeServ proprietary systems
  • Strong verbal and written communication skills
  • Strong attention to detail and well organized
  • Strong analytical and problem-solving skills
  • Ability to be flexible and work effectively both within a team structure or independently
  • Ability to positively influence team morale
  • Ability to coach and mentor junior employees and share knowledge and information across the team
  • Act as a role model for HedgeServ

Responsibilities

  • Capital Call and Distribution Processing
  • Ensure all aged items on cash and position reconciliations are resolved in a timely manner
  • Preparation of net asset value calculations and financial statements
  • Fee calculations and profit and loss allocations
  • Waterfall creation and maintenance
  • Performance reporting including IRRs
  • Ad hoc client and investor reporting
  • Assist in the audit process to help ensure the timely and successful completion of fund audits
  • Supervise a team of up to four Private Equity accountants facilitating their ongoing development
  • Resolve fund accounting enquiries escalated by the Administrator
  • Assist in managing client relationships involving interaction with both the client and the management to ensure consistency of service
  • Develop and improve workflows and procedures
  • Play a role in client onboarding and transitions

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