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Our mission is to unlock the full potential of private markets. Privately owned assets like commercial real estate, private equity, and venture capital make up half of our financial ecosystem yet remain inaccessible to most people. We are digitizing these markets, and as a result, bringing efficiency, transparency, and access to one of the most productive corners of our financial ecosystem. If you care about making the world a better place by making markets work better through technology – all while contributing as a member of a values-driven organization – we want to hear from you.
Juniper Square offers employees a variety of ways to work, ranging from a fully remote experience to working full-time in one of our physical offices. We invest heavily in digital-first operations, allowing our teams to collaborate effectively across 27 U.S. states, 2 Canadian Provinces, India, Luxembourg, and England. We also have physical offices in San Francisco, New York City, Mumbai and Bangalore for employees who prefer to work in an office some or all of the time.
As an Associate II in Fund Accounting, you will be a crucial part of our team, responsible for supporting the fund accounting operations. Your role will involve assisting in the accurate recording of financial transactions, contributing to the maintenance of the Net Asset Value (NAV) of investment funds, and ensuring compliance with regulatory requirements. This position offers a valuable opportunity to grow your career in the fund administration industry.
Reconcile daily cash transactions, including investment activity, income and expense accruals, and capital activity.
Ensure transactions are recorded accurately and in compliance with fund guidelines.
Contribute to the calculation of the Net Asset Value (NAV) for assigned funds.
Assist in ensuring assets are valued according to US GAAP, calculating income distributions, and reconciling discrepancies.
Support the preparation of financial statements, investor reports, and regulatory filings.
Verify the accuracy of financial data and resolve discrepancies.
Perform daily, monthly, and annual reconciliations of fund holdings, cash balances, and other portfolio-related data.
Investigate and rectify any discrepancies in a timely manner.
Assist in ensuring that fund accounting practices comply with regulatory requirements and industry standards.
Maintain accurate fund accounting records and documentation.
Identify opportunities for process enhancements and participate in implementing improvements.
Collaborate with team members to streamline workflows and increase efficiency.
Bachelor's degree in Accounting, Finance, or a related field is preferred
1+ years of relevant experience in CRE/PE fund accounting
Understanding of fund accounting principles and financial markets
Proficiency in Microsoft Excel and familiarity with Investran is a plus
Strong analytical and problem-solving skills with high attention to detail
Excellent communication and teamwork abilities
Ability to work effectively in a fast-paced, client-focused environment.
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