Fund Accountant
The Carlyle Group
مجموع سنوات الخبرة :7 years, 11 أشهر
• Assist with sending capital call and distribution notices to Investors
• Prepare partnership expense analysis and journal entries
• Record capital calls and distributions in Carlyle systems
• Prepare cash on hand analysis
• Prepare fund-level financial statements on a quarterly basis
• Perform reconciliations of accounts presented in the fund-level financial statements
• Prepare reports as needed from Carlyle information systems
• Monitor and reconcile cash accounts for capital calls and distributions
• Assist in completing investment fundings and distributions to investors
• Perform a detailed review of investors’ capital accounts
• Assist with the interim and year-end audit and prepare PBC schedules
• Review year-end tax reporting
• Record information into Carlyle’s accounting system to produce financial reports and investors’ capital account statements
• Work closely with Senior Accountants and other Staff Accountants on financial reporting and daily activities
• Answer investors’ questions regarding quarterly reports, transaction notices and statements
• Manage daily operations of the accounting department
• Maintain receivables through invoicing, collections and reconciliations
• Research and resolve all payment issues
• Coordinate approval process of all accounts payable invoices
• Manage timesheets for all company’s employees through time tracker (Replicon)
• Manage general office operations including payroll entry, monitoring of deposits and expenditures, and reconciliations
• Prepare cash reconciliation, AR Aging and AP Aging reports weekly
• Report weekly and monthly financial reports directly to the Principal of JPA
• Assist controller in the preparation of internal budget, filing tax, and audit
• Assess customer information and suggests appropriate product and service solutions
• Provide financial advice to ensure customer’s financial needs are met (Bank Accounts, Mortgage, Investments)
• Actively participates in coaching sessions for 3 customer service representatives
• Prepare various financial reports (Wire report, ATM Audit report)
• Maintain an active registration status with NMLS (Nationwide Mortgage Licensing System and Registry)