Senior Accountant


Job Details

Our Prestigious Hedge/ PE Fund client with over 30BillAUM with offices in NYC , Dallas and LA is looking for a Senior Corporate Accountant with Asset Management or Real Estate exp in Dallas


Description:


The candidate should possess strong verbal communication skills, be detail oriented and organized in a team-oriented environment. The candidate should have experience preparing financial statements,sound understanding of journal entries, intercompany transactions, advanced excel formula know-hows (e.g.,INDEX, VLOOKUP, SUMIF, SUMIFS, PIVOTS etc.), NetSuite ERP experience a plus, and a CPA license with publicaccounting and/or investment management industry work experience is preferred.


The daily requirements of the Corporate Accountant include the following:

Record journal entries for daily cash activities to ensure cash balances are always up-to-date across the

parent company and its 50+ subsidiaries

Prepare and review monthly bank reconciliations.

Prepare and process wires and intercompany book transfers

Prepare detailed reconciliations and provide flux explanations of general ledger accounts and

transactions

Post, reconcile and communicate with IT re fixed assets and remaining life and maintain/reconcile FAM

within NetSuite, along with recording of depreciation and FA additions.

Post monthly underlying fund revenues as well as GP investment MTM, capital calls and distributions

Assist with CLO quarterly dividend and income reconciliation and automation of reporting between

middle-to-back-office.

Maintain monthly/quarterly AUM as well non-fee-paying AUM across all Canyon product types

Placement Fee and Rebate wires / postings

Understand ASC842 lease accounting and applicable journal entries to record

Loan schedules and journal entries, along with wires.

Rollforward monthly/quarterly where applicable expense/revenue accruals/estimates in NetSuite and

track/reconcile in excel during closing periods.

Prepare quarterly closing packages for multiple entities as well as capital rollforwards.

Prepare and maintain quarterly and annual financial statement consolidations, footnotes/supporting

schedules, including financial draft proformas

Prepare annual audit reports for foreign and domestic entities and work with local accountants in

foreign jurisdictions.

Provide routine and ad-hoc financial analysis to


Perks include :

Fully Paid Benefits

Hybrid WFH schedule

25-35 percent bonus





 Cyperus Group

 05/13/2024

 Dallas,TX