
This Finance Manager role is based in Boston and supports an investment management firm's senior leadership across finance, operations, and investor relations. The position focuses on overseeing fund accounting for private credit vehicles, including capital calls, distributions, and carried interest calculations. Key responsibilities involve reviewing NAV packages, ensuring accurate GAAP financial statements, coordinating annual audits, and preparing investor reporting packages. The role offers the opportunity to work with complex partnership structures and valuation models while partnering directly with investment teams on performance tracking. Candidates will benefit from a collaborative environment that values technical accounting expertise and offers exposure to high-level financial analysis and strategic fundraising initiatives.
















