Senior Finance Associate - Partner Investments
BAIN CAPITAL OVERVIEW
We are one of the world’s leading private investment firms with approximately $180 billion in assets under management that creates lasting impact for our investors, teams, businesses, and the communities in which we live.
Since our founding in 1984, we’ve applied our insight and experience to organically expand into several asset classes including private equity, credit, public equity, venture capital and real estate.
We leverage our shared platform to capture cross-asset class opportunities in strategic areas of focus. With offices on four continents, our global team aligns our interests with those of our investors for lasting impact.
FINANCE- PARTNER SERVICES
- The Bain Capital Partner Investments Group provides Partners with confidential, professional services including : consolidating financial information;
- identifying personal investment opportunities; investment diligence; performance reporting of personal investments; loan program management;
philanthropic services and managing various other personal services. The Partner Investments Group is also the main point of contact for third party family office service providers and vendors.
Members of the team regularly collaborate with members of nearly every internal department in the firm, including investment professionals, other internal finance departments, tax, legal, HR, compliance and IT.
The Senior Associate will be involved in all finance and operational aspects of those functions with a focus on treasury operations, monthly / quarterly reporting, and financial reporting.
KEY RESPONSIBILITIES
Responsible for the following tasks :
Preparation of and review of quarterly fair market valuation statements, quarterly liquid fund summaries, monthly hedge fund performance summaries, and other ad-hoc reporting requests for investments held by Bain Capital Partners.
Assist with external auditors annual financial statement audits.
Management of the treasury function, including daily cash.
Own and manage the team inbox, serving as the point of contact for 300+ external investment fund managers and their respective administrators.
Assist with all aspects of the new investment closing process, including aggregation and tracking of investor commitments, completion of subscription materials, and setup across all internal software used for tracking and management of investments.
Preparation and oversight of all general and personalized reporting summaries including liquidity term reporting, investor statements and other ad hoc reporting.
Manage and supervise staff effectively and efficiently.
Collaboration with team members on new initiatives and services.
GENERAL QUALIFICATIONS
3+years accounting or finance experience in the financial service industry with a solid understanding of investments preferable
Advanced MS Office, particularly Excel
Excellent project management and organizational skills; ability to effectively prioritize multiple projects with high attention to detail
Creative problem solving ability and sound judgment ability to use own initiative and take responsibility for decisions
Strong interpersonal skills with capacity to interact with all levels and other finance groups
Strong interest in the finance and operational side of the alternative investment world
Capability to handle highly confidential and sensitive information
DESIRED EDUCATION
Bachelors Degree in Accounting, Finance, Business or Management