Position Description: Position will be part of a fund controllers team responsible for the overall accounting, reporting and operations for MS Credit Fund. Responsibilities will focus on accounting and reporting for individual investments, preparing financial statements and responding to requests from investors and internal groups.
Scope of Duties:
Preparation of quarterly and annual financial statements and footnotes.
Coordinate audit process and address / resolve inquiries from external auditors.
Prepare and / or present various work paper and financial data analyses based on requests from the business unit and investors.
Prepare fee calculations (i.e. management fees, acquisition fees, etc.) and ensure calculations are in accordance with applicable agreements.
Understand partnership agreements to determine correct income allocations / cash distributions to partners.
Prepare and review investor capital call and distribution notices.
Coordinate deal fundings and distributions with business unit and prepare memos documenting flow of funds.
Complete documentation of accounting processes.
Participate in special projects related to the fund.