Fund Accounting - Engagement Manager (SBIC)
Standish Management · Chicago, Illinois, United States
We are a provider of specialized fund administration services for Managers and General Partners of private equity funds, specifically: Buy‐out, Venture Capital, Real Estate and Fund‐of‐ Funds. For new General Partners, we provide consulting services to help accelerate the launch of their funds in addition to our full fund administration services. For established General Partners, we provide administration services and technology to whole fund families or select funds, to help scale their fund operations rapidly and efficiently.
Job Description:
The manager will manage multiple client relationships, ensuring superior client service with their client service team members.
Essential Functions:
- Manage and oversee the SBA compliance reporting process, including SBA Form 468 preparation
- Review capital call & distribution calculations and letters
- Review waterfalls and partner capital account statements
- Coordinate with internal teams on client deliverables as needed
- Coach, mentor, and develop Senior Associates and Associates through performance feedback, technical training, and career development planning
- Daily client and team member interaction
- Assist with special projects as needed
- Perform internal administrative tasks, including document management and time tracking
- Review processes and make recommendations on how they can become more efficient
- Lead client discussions, provide technical guidance, and proactively identify opportunities to improve service delivery
- Partner with clients and auditors to ensure timely and accurate execution of year end audits
- Act as a trusted advisor by providing insights, recommendations, and solutions to complex fund accounting and operational matters
Minimum Requirements:
- Bachelor’s degree in accounting or related field
- 5+ years of public accounting experience or equivalent
- Leadership experience in private equity, venture capital, private credit, or fund administration
- Strong understanding of partnership accounting, capital activity, waterfalls, allocations, and carried interest calculations
- Experience preparing or reviewing fund financial statements under US GAAP
- Advanced Microsoft Excel skills, including complex formulas, financial modeling techniques, and data analysis tools
- Ability to leverage technology and automation tools to improve operational efficiency
- Able to multitask and perform tasks under strict deadlines
- Experience delegating, training and supervising staff
- Experience managing client relationships
- Professional verbal and written communication skills
- Attention to detail and strong organizational skills
Stand Out Qualifications:
- CPA
- Knowledge of SBIC accounting and SBA regulatory reporting
- Experience with fund accounting platforms such as Investran, Allvue, Geneva, or similar systems
Benefits Include:
- Comprehensive medical, dental, vision coverage, along with life insurance, Health Savings Account and Flexible Spending Account options
- Comprehensive disability/maternity and paternity plans
- 401K
- Flexible Vacation Plan
- Sick Time Accrual Plan
- Standard holidays along with year-end office closure
- A flexible work environment for all employees.
*Compensation range: $100,000+ annually. Actual compensation within that range will be dependent upon the individual's skills, experience and qualifications.