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Fund Accounting Manager na KSL Capital Partners

KSL Capital Partners · Denver, Estados Unidos Da América · Onsite

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KSL CAPITAL PARTNERS – Fund Accounting Manager – Denver, CO


Firm Overview:
KSL Capital Partners, LLC (“KSL”) is a leading global private equity firm specializing in travel and leisure enterprises. KSL specializes in investments across five primary sectors: hospitality, recreation, clubs, real estate, and travel services. KSL has approximately $25 billion of assets under management across its equity, debt, and tactical opportunities funds and has completed over 185 investments since 2005. These investments include some of the premier businesses and properties in travel and leisure globally. Today, KSL has offices in Denver, Colorado; Stamford, Connecticut; New York City, New York; and London, England.


Role:
The Fund Accounting Manager will be responsible for the management of the finance and accounting work streams for KSL’s fund vehicles. Responsibilities include management/oversight of debt investment servicing, monitoring, and reporting; quarterly valuations; assistance on deal closings; as well as review of quarterly and annual financial statements. The role works closely with Fund administrators, Auditors, Tax, and Investment Professionals.


Responsibilities:
• Oversee the quarterly NAV and financial statement process for assigned funds, reviewing work prepared by our third-party administrator, including:
- Waterfall and carried interest calculations
- Differing management fee arrangements
- Gross and net IRR calculations
- Ensuring accounting and presentation is consistent with U.S. GAAP and/or IFRS, and Limited Partnership Agreements
• Coordinate and assist with the funds’ day-to-day operations, including:
- Planning and coordination capitals calls and distributions, managing end-to-end process and reviewing calculations and notices produced by our third-party administrator
- Manage treasury and wire process for Funds across multiple banking platforms
- Subscription Line of Credit management
- Coordination of deal funding
•Oversee annual audit process for assigned funds, coordinating with fund administrator and auditors
• Assist Investment Professionals, Investor Relations, and Compliance, among others, providing information and data to respond to queries and performing ad hoc analyses based on the funds’ or investors’ activity
• Contribute industry and operational knowledge to product development and new fund launches
• Assist with quarterly valuation of investments and reporting to Valuation Committee
• Support CFO / Controller and department with ad hoc special projects


Desired Skills and Experience:
• Bachelor’s or higher degree in Accounting or Finance
• Professional certification (CPA or equivalent) strongly preferred.
• 5-7+ years of finance and/or accounting experience, 2-3+ years’ experience with private equity fund accounting and operations preferred
• Knowledge of Investment Company accounting and legal structures
• Ability to communicate and interact professionally and effectively through written and oral communication with internal teams, investors, and service providers
• Advanced proficiency with Microsoft Office Suite
• Strong analytical skills
• Attention to detail
• Motivated work ethic and desire to expand one’s knowledge, impact, and role
• Ability to prioritize, multi-task, work under pressure and meet deadlines


The above statements are intended to describe the general nature and level of work performed by employees assigned to this classification. The statements are not intended to be an exhaustive list of all job duties performed by employees assigned to this classification.

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