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Brewer Morris

Director of Partnership Accounting

Brewer Morris, Boston, Massachusetts, us, 02298


Director of Partnership Accounting – Alternative Investments New York City, Springfield, MA or Boston, MA The Team The Investment Controllership Team is a high-profile team in the Controllers Organization, composed of accountants who oversee various asset classes and investment activities. The team continues to expand in response to the growing level of assets, key initiatives, and special projects. We pride ourselves on providing timely and accurate financial information to our stakeholders. Our culture emphasizes inquisitive approaches to work, identifying issues with precision, and holding ourselves accountable to resolve them. By working collaboratively, we continuously improve as individuals and as a team, enhancing processes and outcomes. The Impact Lead a team responsible for ensuring the accurate, timely completion of monthly, quarterly, and annual accounting close cycles for complex investment accounting. This includes activities completed by third-party accounting service providers. Develop, document, and ensure adherence to an internal control framework for accurate and timely financial reporting. Implement new control processes and assess improvements by evaluating end-to-end impacts on partnership accounting. Drive initiatives to increase efficiency and add value. Analyze trends and results, using strong business acumen and communication skills to collaborate with peers and draft commentary to explain how performance impacts financial results. Oversee the accuracy and timely completion of Partnership footnotes and NAIC schedules. Perform frequent ad hoc analyses and support special projects. Re-design processes in response to the growth of investment strategies, including developing analytics for quarterly partnership results. Serve as the primary point of contact for external auditors on all partnership-related matters. Collaborate effectively with accounting policy, the Chief Investment Office, tax, financial reporting, capital management, and business unit controllers. Lead research and implementation of new statutory and GAAP investment accounting requirements, determining processes for new investments and related transactions. The Minimum Qualifications Bachelor’s or Master’s degree in accounting, finance, or a related field. 8+ years of relevant experience in Alternative Investment Accounting, including direct experience in private equity, venture capital, or hedge fund accounting. 1+ years of experience leading teams in a deliverable-oriented environment. The Ideal Qualifications Experience in investment GAAP and statutory accounting for insurance companies. 1+ years of experience developing and managing onshore and offshore teams. CPA designation or progress toward completion preferred. Demonstrated experience identifying internal control issues and driving remediation efforts. Experience supporting multiple corporate units. Lean Six Sigma environment experience with strong root-cause problem-solving skills preferred. Proven ability to partner with and influence business leaders in investment process redesign and improvements. Proficiency in analyzing investment data and its implications for accounting, including experience with ERP tools (SAP, Hyperion, NetSuite, etc.). Intellectual curiosity and a commitment to continuous learning and growth. What to Expect Regular meetings with the Investments Accounting Team. Focused one-on-one meetings with your manager. Access to mentorship opportunities. Networking opportunities, including access to business resource groups focused on diversity and inclusion (e.g., Asian, Hispanic/Latinx, African American, women, LGBTQ, veteran, and disability-focused groups). Access to extensive learning resources and platforms like Degreed. An ethical and supportive environment with industry-leading pay and benefits. The SR Group (UK) Limited is acting as an Employment Agency in relation to this vacancy.

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