Job Description

The role is responsible for delivering high‑quality fund accounting and investor reporting services for private equity and alternative investment funds. This includes oversight of NAV production, capital activity, fee calculations, and compliance with fund governing documents, while collaborating closely with internal and external stakeholders.

Key Responsibilities

  • Prepare and/or review monthly and quarterly NAV packages.

  • Record and review trade activity, income and expenses, and apply accurate security valuations within the portfolio accounting system.

  • Prepare and review capital call and distribution processing.

  • Prepare and review allocations of fund-level profits and losses to investors and support the preparation and distribution of ILPA‑compliant investor statements in accordance with fund legal documents.

  • Prepare and review management fee and carried in...

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