Assistant Controller
Description

The Assistant Controller will be primarily responsible for overseeing the day-to-day accounting functions for several of the Firm’s fund structures, including one BDC. The Firm is a dynamic high growth organization which currently includes 20+ close-private investment funds across multiple domiciles and two business development companies (“BDCs”). We are seeking a candidate to join our growing team with a proven ability to work collaboratively with groups across an organization and with outside service providers to direct appropriate information flow and effectively manage reporting deadlines. 

  

Job Responsibilities:

· Manage the preparation and review of quarterly 10-Q and annual 10-K as well as any additional ad-hoc SEC reporting for Monroe’s publicly traded BDC, including Inline XBRL tagging

· Manage the preparation and review of quarterly financial reporting and investor capital statements for certain private funds

· Oversee the preparation of accounting support packages and coordination with the 3rd party fund administrator for one and BDC and certain private entities, including operating expenses and account reconciliations

· Perform manager level review and sign off on the monthly/quarterly trial balances prepared by the 3rd party fund administrator and identify and resolve issues

· Perform manager level review over disclosure support schedules prepared by the 3rd party fund administrator

· Prepare quarterly earnings release, assist in drafting quarterly conference call script and other various presentations to the Board of Directors 

· Assist with investor reporting and coordinate the capital call and distribution process with the 3rd party fund administrator

· Coordinate with the operations team to ensure accuracy of Wall Street Office system data utilized in accounting support packages, focusing on significant or unusual transactions

· Oversee the preparation of support schedules for tax reporting and compliance

· Develop talent and continue to drive efficiencies through process improvements

· Assist with training and management of the fund accounting team

· Ad-hoc internal and external reporting

Requirements
  • Minimum 6 years of relevant experience
  • Bachelor degree in Accounting/Finance, CPA is a plus
  • Previous exposure to Wall Street Office bank loan system is a plus
  • A detail-oriented self-starter who enjoys a dynamic fast-pace work environment at a growing company

Ideal candidate background would include: 

o Experience in public accounting (audit)

o Progressive experience within a company

o SEC reporting exposure with public investment vehicles

o Experience with private & retail funds

o Experience with fixed income products

o Experience working with Workiva or similar financial reporting/filing tool

o Strong ability / knowledge of Microsoft Excel functions