- Denver, CO
Junior Fund Manager
Client:
- Our client is a specialized accounting and advisory firm dedicated to supporting venture capital investment managers throughout the entire fund lifecycle. Since its founding, the firm has built a reputation for delivering high-touch service, technical expertise, and trusted partnerships that help emerging and established venture firms scale their operations with confidence.
Why You’d Want To Work Here:
- Join a collaborative team focused exclusively on the venture capital industry, providing exposure to sophisticated investment structures and fund operations.
- Work directly with fund managers, investors, auditors, and tax professionals while gaining broad experience across the full lifecycle of private investment funds.
- Build your technical expertise in fund accounting, investor reporting, financial reporting, and client relationship management within a growing organization.
- Take on meaningful responsibilities with opportunities to contribute to process improvements, special projects, and new client onboarding.
Short Overview of Responsibilities:
- Prepare and maintain fund accounting records, including general ledgers, investment activity, capital contributions, and distributions.
- Assist with quarterly financial reporting, capital account statements, investor reporting, budgets, cash forecasts, and presentation materials.
- Support capital call and distribution processes while coordinating investor communications and maintaining strong client relationships.
- Coordinate year-end audits and tax preparation by working closely with external auditors and tax advisors.
- Review financial statements, maintain compliance documentation, support regulatory reporting requirements, and assist with client onboarding and investor meetings.
- Collaborate across internal teams on management company accounting, budgeting, special projects, and ongoing operational initiatives.
You Should Apply If You Have:
- Experience with private equity, venture capital, or alternative investment fund accounting.
- Knowledge of partnership accounting, capital calls, distributions, investor allocations, and financial reporting.
- Experience supporting audits, tax preparation, and investor reporting processes.
- Strong organizational skills with the ability to manage multiple deadlines while maintaining accuracy.
- Excellent communication skills and the ability to build relationships with clients, investors, auditors, and internal stakeholders.
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