Fund Accounting - Associate

Standish ManagementStandish ManagementSan Francisco, California, United States | Denver, Colorado, United States | Seattle, Washington, United States
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Posted

10/9/2026

Employment

Full time

Range

$52k - $80k/year

Work style

Hybrid

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AI summary

Core responsibilities

The Associate will oversee administrative support and investor relations, including data entry and the preparation of quarterly reports. They are also responsible for managing client accounts payable and receivable and performing monthly bank reconciliations.

Requirements overview

Candidates must hold a Bachelor’s Degree in Accounting or Finance with a minimum 3.0 GPA. Proficiency in Microsoft Office, particularly Excel, and strong organizational skills are required.

Key skills

Data entryFinancial reportingInvestor relationsAccounts payableAccounts receivableBank reconciliationMicrosoft OfficeExcelQuickBooksInvestment accountingAttention to detailMultitaskingCommunicationOrganizational skillsTeamwork

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Education requirements

bachelor degree

About Standish Management

Industry

Venture Capital and Private Equity Principals

Employees

946

Type

Privately Held

Size

1,001-5,000 employees

Standish is the leading independent provider of fund administration and related services to the private capital industry. With more than 1,200 professionals across 19 offices in North America, Europe, Africa, and Asia, Standish provides comprehensive solutions for Fund Sponsors, including: fund administration, management company, tax, compliance, as well as corporate and depositary services for its clients in Europe. The firm supports more than 500 clients with over $850 billion in assets under administration and serves all major alternative asset classes.

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Job categories

Finance & AccountingAdministrative

Description

Position Overview: Standish Management is looking for associates to join our fund administration team. With guidance from the team members, the Associate oversees the administrative support and the investor relations related to client funds. These responsibilities range from data entry into the client reporting software to compiling quarterly reports for limited partners and from investor correspondence to addressing the accounts payables and receivables for the clients. Responsibilities: Data entry of financial and client information into recordkeeping system Serve as an essential part of the fund administration team Responsible for maintaining and updating various filing system Assisting with the preparation of information and data for capital calls, distributions, and allocations to investors Corresponding with investors’ requests regarding the fund information Responsible for the clients’ management companies accounts payables and receivables Monthly reconciliation of bank accounts and quarterly reporting to the Limited Partners Qualifications and Experience: Bachelor’s Degree in Accounting or Finance related field Strong academic performance (minimum 3.0 GPA) Proficiency in Microsoft Office applications, particularly Excel Familiarity with QuickBooks (not required, is a plus) Knowledge of various investment accounting concepts Attention to detail Ability to multitask Ability to work in a team and individually Ability to effectively communicate to team members Strong organizational skills and work ethic Benefits: Comprehensive medical, dental, vision coverage, along with life insurance, Health Savings Account and Flexible Spending Account options Comprehensive disability/maternity and paternity plans 401K Flexible Vacation Plan Sick Time Accrual Plan Standard holidays along with year-end office closure A flexible work environment for all employees. Compensation Ranges Annually (varies by city): Denver: $52,000 - $62,000 Seattle: $80,000+ San Francisco: $70,000+ *Actual compensation within that range will be dependent upon the individual's skills, experience and qualifications. California Privacy Rights Act (CPRA)

Requirements

  • •Data entry
  • •Financial reporting
  • •Investor relations
  • •Accounts payable
  • •Accounts receivable
  • •Bank reconciliation
  • •Microsoft Office
  • •Excel
  • •QuickBooks
  • •Investment accounting
  • •Attention to detail
  • •Multitasking
  • •Communication
  • •Organizational skills
  • •Teamwork

Benefits

  • •Medical coverage
  • •Dental coverage
  • •Vision coverage
  • •Life insurance
  • •Health Savings Account
  • •Flexible Spending Account
  • •Disability insurance
  • •Maternity leave
  • •Paternity leave
  • •401k
  • •Flexible Vacation Plan
  • •Sick Time Accrual Plan
  • •Paid holidays

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