Financial Operations Professional
Position Description:
- Liaise with outside fund administrators to prepare accurate and timely deliverables related to the NAV process including financial statements, capital account statements, capital call and distribution notices, management fee and carried interest calculations and all other investor reporting
- Work directly with and prepare financial analysis and reporting for executives across Star Mountain funds and relating to financial matters
- Support the overall portfolio valuation process
- Assist audit and tax professionals in year-end audit and tax reporting
- Support treasury and liquidity management functions (oversee cash position for funds and forecast cash requirements)
- Manage capacity on the funds’ credit lines as well as borrowing base compliance/covenants
- Manage the expense process, including vendor management, invoice processing and compliance
with firm policies - Performance measurement, including calculation of IRRs, investment multiples and various time- weighted returns
- Assist in preparation of regular investor reports and quarterly investment letters
- Identify and implement process improvements with regards to efficiency and ensuring that
strong internal controls and quality control are maintained - Review and interpret partnership agreements, private placement memorandums, and other legal documents
- Assist with various portfolio monitoring of investments, including contract compliance
- Assists with the overall investor onboarding process including the investor portal and investor correspondence
Required Qualifications:
- Bachelor’s degree in accounting, finance or similar study, CPA preferred.
- Multiple roles available between 2-10 years of relevant experience.
- Excited to work hard in an entrepreneurial, fast-paced environment building a unique organization.
- Loan experience including working with credit funds, Business Development Companies (BDC) and/or SBICs fund experience a plus.
- Proven knowledge of partnership accounting, US GAAP and financial reporting.
- Audit/controls mindset with desire to implement process improvement opportunities at a growing and entrepreneurial firm.
- Attention to detail and strong analytical skills; experience building complex financial models and presentations.
- Demonstrated team player; self-starter; independent thinker; ability to work independently.
- Strong interpersonal skills with capacity to interact with outside parties and personnel across all levels of the firm.
- Tax structuring knowledge a plus.
- Ability to analyze investment and fund legal documents.
- Positive culture and attitude along with top quality execution.
- Must have strong references available (at the appropriate time) from peers, subordinates and superiors.
- Location: Tampa, Florida
- Timing: Immediate
Office Model:
Star Mountain Capital’s work model is designed to be in-office with a focus on team collaboration and apprenticeship style learning that connects our employees on many levels. Our team aligns to this model to increase meaningful moments that are not replicated in a remote experience. Employees who join our organization can count on this model to accelerate your onboarding, learning, and integration into the firm.
Compensation:
The exact salary will be determined based on the candidate’s qualifications, experience, and performance during the selection process. Employees are eligible for an annual discretionary bonus and other economics. Total compensation may vary by role, location, department, and individual performance.
Benefits:
Star Mountain Capital is committed to a healthy and engaged workforce. Our benefits are constantly evolving to support our employees’ needs today and in the future. We offer a highly competitive medical, dental, and vision package. Select other benefits include: 50% coverage on monthly gym memberships, a cell phone stipend, tuition support of job-related designations and learning and development opportunities, and other bespoke benefits.
Please submit resume through LinkedIn.