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Finance – Senior Vice President – Investment Operations – Private Equity

Finance – Senior Vice President – Investment Operations – Private Equity

CompanyBlackstone
LocationJackson Township, NJ, USA
Salary$210000 – $275000
TypeFull-Time
DegreesBachelor’s
Experience LevelExpert or higher

Requirements

  • Bachelor’s Degree in Accounting or Finance
  • Experience with Capital Markets and Credit Facility management
  • 12+ Years of public accounting, private equity fund accounting, or private equity fund operations experience
  • Strong technical modeling skills
  • Strong analytical and organizational skills
  • Detail oriented
  • Ability to work in a dynamic professional environment and handle multiple projects and deadlines
  • Ability to build relationships and communicate effectively across multiple levels, functions and regions
  • Effectively work and communicate with members of the team to ensure established deadlines are being met in an efficient, accurate and thorough manner
  • Desire to implement process improvement opportunities
  • A self-starter with the ability to work independently
  • Proficiency in Microsoft Office (Excel, Word and PowerPoint) required

Responsibilities

  • Coordinate all aspects of Fund administration related to managing Funds
  • Work with deal teams/fund counsel/tax advisors and portfolio company (“PC”) management on investment transactions and support
  • Cash management including LP capital activity and credit facility analysis
  • Manage and forecast credit facility usage including subscription credit facilities and NAV based credit facilities
  • Manage capacity on the funds’ credit lines as well as borrowing base compliance/covenants
  • Managing a team of 4+ individuals as well as an off-shore team
  • Forecasting PC cash-flow and fund capital call needs
  • Reading and interpreting LPAs and credit agreements
  • Managing responsibilities and assignments delegated to the junior NY and offshore teams
  • Monitor fund LPA limitations and deal certificate compliance
  • Oversee KYC/AML related inquiries including fund and investment structure charts
  • Liaise with the fund accountants on deal transaction data
  • Work with technology team to improve automation/reporting of manual processes
  • Assist with special projects and internal ad hoc requests as needed

Preferred Qualifications

  • CPA preferred, but not required
  • Periodic travel to New York may be required