BXC Drawdowns - VP/SVP
Job Description:
- Oversee the preparation and review quarterly / annual financial statements, quarterly capital statements, LP distributions and capital call notifications, reporting deliverables, and quarterly work papers for internal review and quarterly reporting support
Collaborate with third-party administrators and offshore resources to ensure accurate and timely preparation of work papers and reconciliation files
Manage the third-party administrator relationships, review admin agreements, model out and negotiate fees in line with benchmarks
Review the management fees and waterfall calculations in accordance with the funds’ governing documents
Review support analyses for partnership activities to external auditors for year-end audits and partnership tax returns
Review performance calculations such as Gross and Net IRRs
Oversee the review of daily bank activities
Liaise with Treasury teams to ensure the funds’ currency hedging is monitored daily, margin is posted and contracts are rolled over timely
Evaluate cash availability to support the investment funding
Liaise with various Finance and Operations teams including Tax, Middle Office, Pricing, Financial Reporting, Management Reporting, Legal and Compliance
Assist in the setup and launch of new products. Complete supporting analyses for investor due diligence, model out proposed waterfalls and preferred return calculations and provide inputs on proposed language in LPAs and side letters.
Assist Tax teams with inputs on proposed fund structures
Liaise with Legal teams in setting up leverage facilities, both sublines and asset backed facilities. Ensure compliance with credit agreements including borrowing base certificates, interest expense and unused fee calculations and payments
Lead technology implementation initiatives to streamline review and reporting of various performance analytics
Oversee financial portion of the regulatory filings for Form PF, ADV and AIFMD
Job Requirements:
BS (or above) in accounting is required
13 + years public/private experience is preferred
“Big 4” audit experience is preferred
Experience in the credit industry is required
Familiarity with Investment Company Accounting
Familiarity with various fund structures including Master, Feeder, Blockers, Trusts, SMAs, Co-Invests, Cayman and Lux entities
Familiarity with foreign currency / hedging transactions and accounting is a plus
Strong Excel skills preferred
Investran knowledge is a plus
Disclosure: The hourly rates and/or salaries listed may or may not reflect total compensation packages including bonus and fringe benefits, etc., nor are the advertisement(s) posted a guarantee of a certain compensation package for a position or bona fide offer of employment. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, or protected veteran status and will not be discriminated against on the basis of disability.
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