A leading global alternative investment firm is hiring a Manager to oversee revenue operations and strengthen reporting infrastructure across its Capital Markets platform. This role blends technical accounting ownership operational leadership and stakeholder-facing execution. It is ideal for someone who thrives in complexity; leading close cycles improving receivables transparency enhancing allocation frameworks and building scalable processes that elevate finance operations across a multi-entity global environment.
Responsibilities
- Oversee revenue recognition across multiple strategies ensuring accuracy and compliance with applicable accounting standards and internal policies
- Lead monthly quarterly and annual close processes related to revenue and associated balance sheet accounts
- Manage accounts receivable reconciliation cash application and collections strategy to reduce aged balances and improve visibility
- Partner directly with business unit finance leaders including senior stakeholders to resolve outstanding items and strengthen accountability
- Support cash forecasting and liquidity planning by contributing receivables projections and collections insights
- Own and improve complex expense allocation methodologies across deal fund and portfolio company structures
- Redesign allocation frameworks to enhance transparency auditability and reporting clarity
- Evaluate and support implementation of system enhancements to modernize reporting capabilities
- Establish scalable documentation standards internal controls and audit-ready processes
- Manage and develop accounting staff while providing oversight and structure to offshore support resources
- Collaborate cross-functionally with FP&A Tax Compliance Legal and broader Finance teams to ensure alignment across reporting and forecasting efforts
- Drive continuous process improvement initiatives that reduce manual work and increase reporting integrity
Preferred / Nice-to-Haves
- CPA and/or public accounting background preferred
- Accounting experience within financial services with exposure to investment management or partnership structures
- Direct people management experience
- Experience coordinating with offshore or distributed accounting teams
- Advanced Excel skills required
- Strong analytical and project management skills with high attention to detail
- High ownership mindset with the ability to build structure in evolving environments
Why this opportunity
- Highly visible leadership seat with exposure to senior finance executives
- True ownership over revenue operations and reporting infrastructure
- A mix of technical accounting depth and strategic process improvement
- Opportunity to modernize systems and build scalable frameworks within a global platform
- Clear runway into broader finance leadership roles within a premier alternative asset management organization
A leading global alternative investment firm is hiring a Manager to oversee revenue operations and strengthen reporting infrastructure across its Capital Markets platform. This role blends technical accounting ownership operational leadership and stakeholder-facing execution. It is ideal for someone...
A leading global alternative investment firm is hiring a Manager to oversee revenue operations and strengthen reporting infrastructure across its Capital Markets platform. This role blends technical accounting ownership operational leadership and stakeholder-facing execution. It is ideal for someone who thrives in complexity; leading close cycles improving receivables transparency enhancing allocation frameworks and building scalable processes that elevate finance operations across a multi-entity global environment.
Responsibilities
- Oversee revenue recognition across multiple strategies ensuring accuracy and compliance with applicable accounting standards and internal policies
- Lead monthly quarterly and annual close processes related to revenue and associated balance sheet accounts
- Manage accounts receivable reconciliation cash application and collections strategy to reduce aged balances and improve visibility
- Partner directly with business unit finance leaders including senior stakeholders to resolve outstanding items and strengthen accountability
- Support cash forecasting and liquidity planning by contributing receivables projections and collections insights
- Own and improve complex expense allocation methodologies across deal fund and portfolio company structures
- Redesign allocation frameworks to enhance transparency auditability and reporting clarity
- Evaluate and support implementation of system enhancements to modernize reporting capabilities
- Establish scalable documentation standards internal controls and audit-ready processes
- Manage and develop accounting staff while providing oversight and structure to offshore support resources
- Collaborate cross-functionally with FP&A Tax Compliance Legal and broader Finance teams to ensure alignment across reporting and forecasting efforts
- Drive continuous process improvement initiatives that reduce manual work and increase reporting integrity
Preferred / Nice-to-Haves
- CPA and/or public accounting background preferred
- Accounting experience within financial services with exposure to investment management or partnership structures
- Direct people management experience
- Experience coordinating with offshore or distributed accounting teams
- Advanced Excel skills required
- Strong analytical and project management skills with high attention to detail
- High ownership mindset with the ability to build structure in evolving environments
Why this opportunity
- Highly visible leadership seat with exposure to senior finance executives
- True ownership over revenue operations and reporting infrastructure
- A mix of technical accounting depth and strategic process improvement
- Opportunity to modernize systems and build scalable frameworks within a global platform
- Clear runway into broader finance leadership roles within a premier alternative asset management organization
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