Boston, Massachusetts30+ days ago
This role will support the accounting, financial reporting, NAV oversight, and audit coordination activities for a range of fund vehicles, including Single Investor Funds (SIFs), Single Manager Funds (SMFs), and other commingled structures across hedge funds, private equity, mutual funds, derivatives, and fund-of-funds products. The Associate will work closely with internal teams and external service providers, including fund administrators, auditors, legal, compliance, tax, operations, and client service teams, to help ensure accurate reporting, efficient fund operations, and timely resolution of issues.