BPM LLP - Fund Accounting Supervisor
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Requirements
• Bachelor’s degree in Accounting or Finance • 5+ years of experience in public accounting, fund administration, or fund accounting • 2+ years of private equity and/or venture capital fund experience • CPA preferred (active or in progress) • Strong working knowledge of partnership accounting and capital accounts • Experience supporting fund audits and tax processes • Experience with fund accounting systems and advanced Excel skills • Strong attention to detail with the ability to manage multiple priorities and deadlines • Who is successful at BPM: • Caring people who put others first • Self-starters who embody the BPM entrepreneurial spirit • Authentic individuals with a diverse point of view • Lifelong learners with a drive to excel • Resilient people who rise to the occasion • $90,000 - $115,000 a year • The salary range provided is intended for candidates in the San Francisco Bay Area who meet the minimum requirements of the position. Candidates who do not reside in the San Francisco Bay Area, do not meet the minimum requirements, or exceed the requirements are encouraged to apply and a recruiter will provide you with a range specific to your location and qualifications. • Wondering if you should apply? • At BPM we are people who value people. We are progressive and purposeful. We are a firm with flexibility. Our shared entrepreneurial spirit drives us to see and do things differently. And our passion for people makes BPM a place where everyone feels welcome, valued, and part of something bigger. • **************
Responsibilities
• Fund Accounting & Reporting • Oversee day-to-day fund accounting and administration • Maintain capital accounts, allocations, and detailed investor activity tracking • Prepare capital calls, distributions, and supporting schedules • Prepare and review quarterly and annual fund financial statements in accordance with US GAAP • Track portfolio investments, financing, and related activity • Review NAV calculations and supporting schedules prepared by internal teams or third-party administrators • Support investor reporting and deliverables • Coordinate audit and tax processes, including support, documentation, and issue resolution • Partner with external auditors, tax advisors, and fund administrators • Support AML/KYC requirements and maintain accurate investor records • Leadership, Review & Process Improvement • Review work prepared by junior team members and/or fund administrators to ensure accuracy and timeliness • Supervise daily workflow and provide coaching, guidance, and technical review • Assist with process documentation, internal controls, and system usage • Proactively identify risks, inefficiencies, and improvement opportunities • Raise concerns early, propose solutions, and collaborate with leadership on evolving fund administration processes • Contribute ideas toward system, workflow, and operational improvements
Benefits
• Total rewards with flexible work arrangements and compensation options that give you choice and flexibility. • Well‑being resources including an interactive wellness platform, EAP and mental‑health resources, and Colleague Resource Groups. • Balance & flexibility with Firm Holidays, Flex PTO, paid family leave, winter break, summer hours, and remote work options. • Professional development via CPA exam resources and bonuses, coaching, and BPM University classes, workshops, and seminars.
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