Director, Fund Accounting
Company: Cambridge Associates
Location: Boston
Posted on: April 1, 2026
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Job Description:
Firm Overview: Cambridge Associates (“CA”) is a leading global
investment firm. CA’s goal is to help endowments & foundations,
pension plans, and ultra-high net worth private clients implement
and manage custom investment portfolios that generate
outperformance so that they can maximize their impact on the world.
Cambridge Associates delivers a range of services, including
outsourced CIO, non-discretionary portfolio management, and
investment consulting. Headquartered in Boston, Massachusetts, CA
has offices in key markets in North America, the United Kingdom,
Europe, Asia, and Oceania. Our worldwide teams ensure our clients
benefit from decades of global presence, local expertise, and
relationships with the top global investment managers across the
world. For more information, please visit
www.cambridgeassociates.com . Job Description Summary: We are
seeking an experienced and highly motivated Director to join the
Fund Solutions team. This individual will play a key leadership
role in overseeing the fund accounting, financial reporting,
operations, and control environment for our funds. This role
requires technical expertise in fund mechanics (capital calls,
distributions, waterfalls, credit facilities, and carried interest)
and the ability to manage a team in delivering accurate, timely,
and investor-ready outputs. The individual will partner closely
with the Fund CFO, Fund Senior Director, Tax, Investor Relations,
Legal and Operations to ensure financial integrity and drive
process efficiency across multiple fund products. Job Description:
Key Responsibilities: Fund Accounting Oversee the accounting,
reporting, and financial operations for commingled funds, single
manager funds, single investor funds, and other structures as
needed. Fund structures may include, but not limited to
master-feeder structures, offshore blockers, etc. Review quarterly
and annual financial statements prepared under the appropriate
governance. Ensure compliance with fund governing documents,
regulatory requirements, and industry best practices. Oversee
capital activity processing (capital calls, distributions,
transfers), ensuring accuracy of investor allocations and
compliance with governing documents. Monitor fund credit
facilities, including drawdowns, repayments, covenant compliance,
and IRR/fee impacts. Reporting & Analysis Lead the review of
capital account statements, partner allocations, and carried
interest calculations (as needed). Support investor reporting and
respond to investor inquiries in coordination with the Investor
Relations team. Provide analytical support on fund performance,
management fees, and expense allocations. Provide analysis and
reporting for Fund CFO and senior management with analysis on
funds, liquidity, expense ratios, and credit facility usage.
Controls & Compliance Maintain robust internal controls across
accounting and reporting functions. Manage external fund
administrators, review NAV packages and reconciliations. Partner
with external auditors and fund administrators to ensure timely
completion of audits, filings, and regulatory submissions.
Leadership & Process Improvement Manage and mentor a team of
accounting professionals; foster professional development and high
performance while performing training as needed. Drive process
efficiencies, automation, and implementation of best practices
across the Fund Solutions function. Strategic Projects Support
initiatives, including new fund launches, structuring, waterfall
modeling, fee mechanics, and capital structure design. Collaborate
on treasury management, including forecasting for capital
calls/distributions and optimizing credit facility usage, and cash
management matters. Qualifications: Bachelor’s degree in
accounting, finance, or related field; CPA preferred but not
required. 8 years of progressive accounting/finance experience,
ideally with a mix of public accounting and private equity/asset
management industry experience. Strong technical knowledge of US
GAAP, fund accounting, and partnership structures. Experience with
fund structures (master-feeder, blocker entities, co-investment
vehicles, SPVs, etc.). Familiarity with fund credit facilities
(including impact on IRR), management fee mechanics, carried
interest waterfalls, and capital call/distribution processes.
Proven ability to manage teams and build strong cross-functional
relationships. Experience managing third-party fund administrators
and external auditors. Excellent analytical, organizational, and
critical thinking skills; ability to manage multiple priorities in
a fast-paced environment. Base salary range for this role: Pay
Range Minimum: 158100 Pay Range Maximum: 211900 In addition to the
listed salary range, this position is eligible for an annual
performance-based bonus and a comprehensive, competitive benefits
package. Actual placement within the stated salary range will be
determined based on factors such as skills, experience, and
qualifications, as well as internal equity. The firm is committed
to the concept and practice of equal employment opportunity and
will not discriminate against any employee or applicant on the
basis of race, color, religion, age, sex, national origin, sexual
orientation, gender identity, disability, or veteran status. It is
expected that all employees will follow a similar policy toward
their co-workers.
Keywords: Cambridge Associates, Lawrence , Director, Fund Accounting, Accounting, Auditing , Boston, Massachusetts