Manage accounting workflows across a portfolio of investment funds
Prepare and review fund-level financials on a recurring basis
Oversee investor transactions, including capital calls and distributions
Act as a key point of contact during audits and tax engagements
Track investment activity and ensure accurate recording of transactions
Monitor fund cash positions and support forecasting efforts
Contribute to quarterly and ad hoc investor reporting
Maintain and update fund and investor data across internal platforms What You Bring
Not Met Priorities
What still needs stronger evidence
Requirements
Maintain and update fund and investor data across internal platforms What You Bring
3–5+ years of relevant experience (public accounting or fund environment preferred)
Familiarity with partnership accounting concepts is highly valued
Strong Excel capabilities and comfort working with financial systems
Ability to handle multiple funds and deadlines in a client-facing setting Why Consider This Role
Increased ownership and visibility compared to traditional accounting roles
Direct interaction with sophisticated investment managers
Preferred Skills
3–5+ years of relevant experience (public accounting or fund environment preferred)
Exposure to private equity, venture capital, or alternative investments is a plus
Familiarity with partnership accounting concepts is highly valued
CPA (or in progress) preferred
Strong Excel capabilities and comfort working with financial systems
Increased ownership and visibility compared to traditional accounting roles
Education
(Not required)
– Bachelor’s degree in Accounting, Finance, or similar field
Position: Fund Controller Location: Boston, MA (Hybrid) Salary: $115k-$130k Atlantic Group is seeking a Fund Controller to join a rapidly growing firm in the private markets space. This individual will play a key role supporting a portfolio of private equity and venture capital clients, taking ownership of core accounting, reporting, and investor-related deliverables. This is an excellent opportunity for someone looking to step into a more senior, client-facing position with meaningful responsibility and long-term growth potential. What You’ll Do Manage accounting workflows across a portfolio of investment funds Prepare and review fund-level financials on a recurring basis Oversee investor transactions, including capital calls and distributions Act as a key point of contact during audits and tax engagements Track investment activity and ensure accurate recording of transactions Monitor fund cash positions and support forecasting efforts Contribute to quarterly and ad hoc investor reporting Maintain and update fund and investor data across internal platforms What You Bring Bachelor’s degree in Accounting, Finance, or similar field 3–5+ years of relevant experience (public accounting or fund environment preferred) Exposure to private equity, venture capital, or alternative investments is a plus Familiarity with partnership accounting concepts is highly valued CPA (or in progress) preferred Strong Excel capabilities and comfort working with financial systems Ability to handle multiple funds and deadlines in a client-facing setting Why Consider This Role Increased ownership and visibility compared to traditional accounting roles Direct interaction with sophisticated investment managers Clear path toward senior-level roles within fund finance Collaborative team within a growing platform