Accountant - Associate
iCapital - Lisbon, Portugal
Posted Mar 31, 2026
Benefits
- Parental leave
- Not verified
- Non-birth-parent leave
- Not verified
- Family-building benefits
-
- Fertility benefits: Not verified
- Adoption assistance: Not verified
- Surrogacy assistance: Not verified
- Mental health support
- Not verified
- Relocation assistance
- Not verified
- Childcare support
- Not verified
- Learning budget
- Not verified
- Verification
- Not verified
- Salary
- Not verified
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Market context
- U.S. role benchmark (BLS OEWS)
- $106,409 U.S. median for this role
- Projected growth (BLS Employment Projections)
- +7.7% - Faster than average
Matched to SOC 13-2011 - Finance aggregate by role bucket.
Source: U.S. Bureau of Labor Statistics, OEWS, May 2024 and Employment Projections, 2024-2034.
Schedule
- Shift type
- Not verified
- Weekend work
- Not verified
Company
- Equity
- Offered From the posting source
Application
- Cover letter
- Not verified
- Assessment
- Not verified
- Deadline
- Not stated
Where they hire
State eligibility is not yet verified.
About this role
Accountant - Associate Lisbon, Portugal About the Role This position is a “hands-on” role with operational responsibility for servicing hedge and private equity fund of fund and access fund vehicles (the “funds”) in conjunction with third-party administrators, managing all fund accounting and financial reporting to investors, including capital activity, partner capital statements, annual audited financials, and tax deliverables. Responsibilities - Build and maintain relationships with underlying fund managers, fund administrator and distributors - Design and implement processes and procedures for servicing the funds. Work in close partnership with the management team to enhance and automate key processes, and to develop and enhance product, management, and other reporting, targeting both efficiency and scale - Work closely with investor relations, product, legal and compliance, technology, and sales & marketing teams to support fund operations - Participate in new fund structuring, set up and onboarding - Provide oversight of fund administrators and other service providers, such as auditors, tax service providers, and custodians - Monitor cash positions and liquidity of investments, reconciliations and manage cash reserves - Run accounts payable and expense allocation process - Define, update and maintain operating policies and procedures - Liaise with funds' custodian and funds' bank, as well as other counterparties as needed - Work with counsel/CCO to ensure general compliance with fund docs as well as regulatory filings and requirements such as SEC and FINRA - Ad-hoc activities as required by the team and different parts of the organization Qualifications - Bachelor's degree in Accounting, Finance, Economics,
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