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Job Title


Senior Fund Accountant


Company : Larson Capital Management LLC


Location : Chesterfield, MO


Created : 2026-04-24


Job Type : Full Time


Job Description

Description:Apply fast, check the full description by scrolling below to find out the full requirements for this role.Larson Capital Management, LLC, is seeking a dynamic fund accounting professional to perform daily reporting functions for multiple private equity real estate funds. The Senior Fund Accountant is responsible for the accounting, operations, and administration of assigned private investment funds managed by a premier Venture Capital firm. The firm also manages several asset classes, including private equity and growth equity. The Senior Fund Accountant position offers competitive pay, a generous bonus program and a comprehensive benefits package.The Senior Fund Accountant is responsible for the preparation and review of hedge fund and private equity fund valuations, including portfolio valuation, fee computation, various accruals, and income allocations. In addition, the incumbent will be involved in the preparation and review of the annual audit reports, act as a direct liaison with the fund managers, auditors, and other related parties.Responsibilities:Provide investment accounting support for a portfolio of private investment holdings.Prepare reconciliations of fund cash and investment positions to the prime broker/custodian accounts and track fund level expenses, accruals, management fees and incentive fees.Maintain Fund books and records in accordance with the Offering Memorandum and other Constitutive Documents.Prepare initial draft of a fund's annual financial statements with footnotes in accordance with GAAP and provide audit assistance to independent audit firms during the fund's annual review.Ongoing review and compliance with controls and proceduresAssist with business development, client specific reporting/analysis requests, and special projects.Assist internal development team with development projects as needed (prepare invoices for fund reimbursements, provide total amount spent on projects as needed, track total equity provided).Prepare and review financial statements for development properties by working with internal development team as well as outside developer, reconciling developer TB with draw activity and incorporating into our financials.Review bank transactions before sending off for approval, including verifying wire/ACH instructions with outside parties.Calculate management fees billed to the funds and enter through AP system. xijylhu Requirements:Bachelor's degree in accounting or finance required5-7 years' experience in the PE fund accounting and / or administrationThorough knowledge of consolidations, eliminations, intercompany, investment, and fair value accounting.Experience with Yardi accounting software preferred but not requiredBackground in accounting for various types of entities including private equity funds, hedge funds (Master Feeder Structures, Standalone Entities, Side by Side and Segregated Portfolios)Expertise in various investment instruments including equities, fixed income, options, futures, private equity, mutual fund investments and/or real estateAbility to excel in a fast paced, entrepreneurial environmentStrong communication skills, organizational skills, and attention to detailsLarson Capital Management offers a generous employee benefits & perks package:Profit Sharing Bonus Program401(k) Employer Match up to 4%Medical, Dental & Vision Insurance (HDHP HSA plans are 100% paid for the employee)ER PD TelehealthER PD Life, Disability & EAP InsurancePaid time Off (112 hours after 90 days)Holiday Pay (12 Holidays)Training & EducationER Events, Awards, ActivitiesPI18d06f87b03e-3631