What are the responsibilities and job description for the Senior Fund Operations Consultant position at Daley And Associates, LLC?
Senior Fund Operations Consultant
We are currently seeking candidates for a Senior Fund Operations Consultant opportunity with an elite alternative investment management firm located in Boston, MA. The Senior Fund Operations Consultant will oversee the full monthly NAV lifecycle, including coordination with fund administrators, review of supporting schedules, and formal approval of NAV packages. The Senior Fund Operations Consultant will produce and distribute daily, weekly, and monthly deliverables across client, management, valuation, and tax reporting, ensuring accuracy, timeliness, and strong audit support. The ideal candidate will have 4-6 years of related experience in public accounting, alternative investments, or fund administration.
This is a 3-month contract opportunity, paying between $60-$80/hour (depending on experience). This role supports a hybrid work model, consisting of 4 days onsite and 1 day remote per week.
Responsibilities:
We are currently seeking candidates for a Senior Fund Operations Consultant opportunity with an elite alternative investment management firm located in Boston, MA. The Senior Fund Operations Consultant will oversee the full monthly NAV lifecycle, including coordination with fund administrators, review of supporting schedules, and formal approval of NAV packages. The Senior Fund Operations Consultant will produce and distribute daily, weekly, and monthly deliverables across client, management, valuation, and tax reporting, ensuring accuracy, timeliness, and strong audit support. The ideal candidate will have 4-6 years of related experience in public accounting, alternative investments, or fund administration.
This is a 3-month contract opportunity, paying between $60-$80/hour (depending on experience). This role supports a hybrid work model, consisting of 4 days onsite and 1 day remote per week.
Responsibilities:
- Manage monthly NAV process and review administrator calculations and supporting schedules.
- Approve final NAV packages and ensure accuracy of underlying valuations and reporting.
- Prepare daily, weekly, and monthly client, management, valuation, and tax reports.
- Oversee investor cash activity, including subscriptions, redemptions, capital calls, and distributions.
- Reconcile investor balances and support transfer agency oversight.
- Provide fund data to internal teams and respond to investor and regulatory inquiries.
- Perform ad-hoc analysis related to fund and investor activity.
- Drive operational initiatives across firm-sponsored and sub-advised hedge funds.
- Support technology enhancements, service provider transitions, and process automation.
- Strengthen internal controls and audit readiness across fund operations.
- Provide additional support as needed.
- Bachelor’s degree in accounting, finance, or related field.
- 4-6 years of relevant experience in public accounting, alternative investments, or fund administration.
- Strong understanding of partnership accounting, including working knowledge of management fees, claw-backs, carried interest, side pockets, currency hedging, and third-party distribution.
- CPA, CFA, CAIA, and/or MBA a plus, but not required.
- Excellent communication (written and verbal) and interpersonal skills.
- Proven ability to manage competing deadlines and priorities.
- Strong systems skills, including proficiency in Microsoft Excel and Alteryx (or similar).
Salary : $60 - $80