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Fund Controller

NFX
Posted 7 months ago, valid for 16 days
Location

San Francisco, San Francisco 94102, CA

Salary

$150,000 - $220,000 per year

Contract type

Full Time

Life Insurance
Disability Insurance

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Sonic Summary

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  • The Fund Controller will report to the CFO and will be responsible for leading and scaling NFX's fund finance function as the company grows its assets under management.
  • This role requires 6–10 years of experience in public accounting or fund administration, as well as hands-on experience in venture capital or private equity fund accounting.
  • Key responsibilities include managing full-cycle US GAAP accounting, overseeing outsourced fund administrators, and coordinating audits and tax filings for all fund entities.
  • The ideal candidate will possess a bachelor’s degree in finance, accounting, or business management, with a CPA and MBA considered a plus.
  • The salary for this position ranges from $150,000 to $220,000 per year, plus carry.

Reports to: CFO


The Opportunity

As Fund Controller, you will partner with the CFO to help lead and scale NFX’s fund finance function as we grow our platform and assets under management. You will own end-to-end fund accounting and reporting across our venture funds, partnering closely with internal stakeholders and external providers. You will also work in close partnership with our Management Company (ManCo) Controller, with intentional overlap in key workflows to provide strong controls, continuity, and a built-in second set of eyes—while gaining exposure across both fund and ManCo finance.


KEY RESPONSIBILITIES


Financial Leadership & Management

     Help design and maintain a high-performing finance team with scalable processes.

     Serve as a strategic thought partner to the CFO, COO, General Counsel, and investment team.

Fund Accounting

     Own full-cycle US GAAP accounting and record keeping for the funds and related entities (including capital activity and partner allocations).

     Manage outsourced fund administrators; review capital calls, distributions, quarterly closes/work papers, financial statements, and partner capital statements.

Valuations & Portfolio Reporting

     Help run the quarterly valuation and fair value process in partnership with the investment team (process management, support, documentation, and controls).

     Manage the outsourced fund administrator's quarterly LP/GP reporting process, packages, NAV, IRR, MOIC, and other financial metrics.

     Help prepare and review any ad-hoc analyses for fundraising, portfolio management, etc.

Compliance, Audit & Tax

     Coordinate annual audits and support tax filings for all fund entities; liaise with auditors and tax advisors.

     Coordinate compliance reporting and other regulatory requirements, partnering with internal and external stakeholders.

Treasury & FP&A

     Aid in the budgeting, forecasting, and cash-management across funds.

     Deliver thoughtful and decision-supporting analysis on fee income, carry waterfalls, liquidity/cash runway, and other operating KPIs.

Systems & Process Improvement

     Help administer and optimize NFX’s finance tech stack (QuickBooks, Allvue, Cobalt, Carta, Excel, and internal systems) and help automate reporting workflows.

     Champion data quality and operational excellence across the finance and accounting organization.


Ideal Candidate

      Bachelor’s degree in finance, accounting, or business management.

      Experience: 6–10 years, including a mix of public accounting/fund administration and hands-on venture capital/private-equity fund and management-company accounting.

      Credentials: CPA and MBA or equivalent are a plus.

      Proven success managing outsourced fund administrators and building scalable processes.

      Deep knowledge of US GAAP, partnership accounting, and valuation methodologies.

      Highly motivated and detail-oriented with strong analytical, organizational, and multitasking skills.

      Advanced Excel and experience with QuickBooks, Allvue, Cobalt, and other reporting/analytics tools.

      Excellent written and verbal communication; able to translate complex financial concepts for non-finance audiences.


This position is NOT a remote position. Please do not apply if you are not in the San Francisco Bay Area or cannot work out of our San Francisco office.


Benefits

      Medical, Dental, and Vision Insurance for you and dependents

      401(k) with generous match

      Flexible Time off

      Parental leave

      Mobile data credit

      Commuter benefits

      Life and supplemental life insurance

      Short-term and long-term disability insurance

 

Application Process

Please submit your application via: Lever

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$150,000 - $220,000 a year
$150-220k plus carry
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