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Hig Capital Jobs (NOW HIRING)

G. Capital is a leading global private equity investment firm with $74 billion of assets under management with a focus on the mid cap segment of the market. The H.I.G. family of funds includes ...

Receptionist

New York, NY ยท On-site

$60K - $70K/yr

G. Capital is a leading global private equity investment firm with $74 billion of assets under management with a focus on the mid cap segment of the market. The H.I.G. family of funds includes ...

We're backed by Insight Venture Partners and Iconiq Capital, we're on a path to $1B in 2019, and we ... Familiarity with Apple's HIG * A strong appetite for learning (new frameworks, new languages, etc.

OR ยท On-site

Assess financial sustainability and longterm value creation for HIG, MGUs, and capital partners; partner across Underwriting, Finance, Actuarial, and Operations to ensure models reflect operational ...

The incumbent will report to VP, Strategic Capital Deployment in the Operations Transformation organization. Responsibilities: * Lead a team of professionals to achieve the charter, priorities and ...

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Hig Capital information

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$25K

$103.4K

$195.5K

How much do hig capital jobs pay per year?

As of Jun 9, 2026, the average yearly pay for hig capital in the United States is $103,445.00, according to ZipRecruiter salary data. Most workers in this role earn between $70,000.00 and $124,500.00 per year, depending on experience, location, and employer.

What is an H.I.G. Capital job?

An H.I.G. Capital job typically refers to a role within H.I.G. Capital, a leading global private equity and alternative assets investment firm. It may involve responsibilities in investment analysis, portfolio management, deal sourcing, or financial modeling, depending on the specific position. H.I.G. Capital hires professionals in areas such as private equity, credit, real estate, and business operations. Employees often work in a fast-paced environment, analyzing market trends and identifying investment opportunities.

What are the key skills and qualifications needed to thrive in the Hig Capital position, and why are they important?

To thrive at H.I.G. Capital (a leading private equity and alternative assets investment firm), you need a strong foundation in finance, investment analysis, and deal structuring, typically supported by a degree in finance, economics, or a related field. Familiarity with financial modeling tools (e.g., Excel, Bloomberg Terminal), valuation methodologies, and possibly CFA or MBA credentials is highly valued. Excellent communication, negotiation skills, and the ability to work collaboratively make candidates stand out. These abilities are crucial for sourcing investments, executing deals, and maintaining strong relationships with stakeholders in fast-paced, high-stakes environments.

What are some common responsibilities for professionals working at H.I.G. Capital?

Professionals at H.I.G. Capital are typically involved in identifying and evaluating investment opportunities, conducting financial due diligence, and participating in the ongoing management of portfolio companies. Daily tasks may include analyzing financial statements, building valuation models, preparing investment memos, and working closely with management teams to drive growth and operational improvements. Collaboration is key, as team members often work alongside other investment professionals, advisors, and executives across industries. The dynamic nature of private equity means that your responsibilities can evolve quickly, offering significant learning and career advancement opportunities.

More about Hig Capital jobs
What cities are hiring for Hig Capital jobs? Cities with the most Hig Capital job openings:
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Infographic showing various Hig Capital job openings in the United States as of June 2026, with employment types broken down into 100% Full Time. Highlights an 88% Physical, 6% Hybrid, and 6% Remote job distribution, with an average salary of $103,445 per year, or $49.7 per hour.

Assistant Controller, Credit

HIG Capital LLC

Coral Gables, FL โ€ข On-site

Full-time

Posted 9 days ago


Job description

Firm Overview:
H.I.G. Capital is a leading global private equity investment firm with $70 billion of assets under management with a focus on the mid cap segment of the market. The H.I.G. family of funds includes private equity, growth equity, real estate, direct lending, special situation credit, and growth-stage healthcare. We focus on providing capital to businesses with attractive growth potential and align ourselves with committed management teams and entrepreneurs to help grow businesses of significant value. Our team of over 500 investment professionals has substantial operating, consulting, technology, and financial management experience, enabling us to contribute meaningfully to our portfolio companies. H.I.G. is based in Miami, with offices in Atlanta, Boston, Chicago, Los Angeles, New York, and San Francisco, and affiliate offices in Hamburg, London, Luxembourg, Madrid, Milan, and Paris in Europe as well as Bogotรก, Rio de Janeiro, and Sรฃo Paulo in Latin America, Dubai in the Middle East, and Hong Kong in Asia.
Credit Platform:
H.I.G. Capital's credit platform has invested over $27 billion in credit assets globally across multiple market cycles since inception and has been expanding rapidly. The Credit Platform is currently $18 billion in AUM with the expectation of this continuing to grow rapidly with multiple new fund structures in the pipeline. The Credit Platform has been actively investing in CLOs/structured products, direct loan originations, distressed/stressed debt and distressed-for-control investments with both private equity firms and non-sponsor companies. A differentiated, value-added strategy and leading position in the lower to middle market has resulted in strong, consistent returns and has established H.I.G. as a market leader in the credit markets.
Role Overview:
We are currently seeking an Assistant Controller to join the accounting and financial reporting team of our Credit Platform in our Coral Gables, Boca, or New York offices. The successful candidate will be joining in a senior capacity to manage and oversee several select distressed debt funds, including managing both a local and offshore team. The candidate will be working with complex fund structures and investments in both Europe and the U.S. and with several deal teams. While the funds' primary focus is on distressed debt, there will be exposure to several different asset classes in this multi-strategy environment.
The candidate will be intimately involved in defining how the team operates on a day to day basis and building a successful and motivated team. The candidate will also be responsible for reviewing and approving the monthly and/or quarterly accounting close and financial reporting processes related to the candidate's Credit Funds. The candidate will have the opportunity to lead high profile projects building out the accounting and operational infrastructure of the Credit Platform to become world class.
The selected candidate will work with teams across the organization, including the Investment, Operations, Valuation, Tax, Investor Services, Treasury, and Capital Formation Teams, in carrying out the accounting, financial, and investor reporting responsibilities of the Credit Funds. This will provide the candidate with a broad range of exposure to different aspects of the business and create great networking opportunities.
Role Responsibilities:
  • Train and supervise both an onshore and offshore team; Ensure onshore team is continually provided with challenging opportunities to expand and grow their careers; Ensure offshore personnel are a successful extension of our team and are given opportunities to grow and expand their careers.
  • Research and propose potential solutions to improve process and reporting efficiency to discuss with senior team members and technology teams; Assist with the validation of any enhancements to system reports and/or implemented functionality.
  • Participate in monitoring all investments and analyze the related performance; Engage directly with the investment and origination professionals to handle multifaceted inquiries.
  • Responsible for the review and approval of the quarterly financial reports, compliance and investor reporting for all assigned Funds. Ensuring compliance with the Funds' governing documents as well as GAAP, credit facility, and SEC requirements.
  • Assist Controller with determining appropriate accounting decisions based on research done on new/proposed accounting guidance.
  • Responsible for managing the liquidity of the Funds to assist with IRR optimization to LPs. Monitor the deal pipelines for several strategies and cash availability from fund credit facilities.
  • Review and provide feedback on fund legal agreements (PPMs, LPAs and investor letters). Model new waterfalls, management fee and carried interest calculations and other fund-specific calculations for new structures.
  • Review call/distribution notices, credit line draw/paydown notices, partner capital statements and quarterly investor letters/reporting, and liaise with Investor Services team in the delivery of such to investors. Coordinate and summarize responses to periodic investor requests/questions.
  • Assist in the quarterly review in conjunction with the valuation team in determining fair value of investments. Ensure changes in valuation period-over-period are supported and documented.
  • Identify key drivers of Fund profitability and be able to analyze and explain actual results compared to prior projections or periods.
  • Provide senior management with timely updates of periodic projections of overall performance, key Fund events as well as escalate issues requiring immediate attention.
  • Plan and execute the year-end audit for assigned funds.
  • Interact with Tax Team to ensure that all tax information is compiled properly.
  • Assist in managing external stakeholder relationships for assigned Funds, including credit facility providers, banks and auditors.
  • Handle and oversee more complex features or elements of assigned Funds, including Fund rebalancing/equalization; foreign currency hedges and derivatives ; asset-based line borrowing base calculations; and carried interest clawback and IRR sensitivity analyses.
  • Assist with special projects and internal ad-hoc requests and undertake broader team and/or office initiatives.

Requirements & Qualifications:
  • Seasoned manager of people and processes with an ability to cultivate, maintain and motivate a high-performing team.
  • Strong understanding of credit instruments and fund accounting concepts.
  • Takes full ownership and accountability of work product and leads by example in areas of attitude, attention to detail, urgency, process improvement and quality of work.
  • Superior planning and organizational skills.
  • Capable of persuasive written and oral communications by presenting complex issues and recommendations in a clear, concise and logical manner.
  • Effective and self-motivated problem solver - demonstrating strong critical reasoning, analytical and detail-oriented attributes; Be able to think "out of the box".
  • Management ability - able to teach, coach, and effectively work with inhouse and offshore accounting personnel.
  • Ability to interpret and analyze complex legal documents, deal structures and financial transactions.
  • Positive attitude with a team player mentality - ability to "roll up the sleeves" in delivering results within tight deadlines.
  • Ability to multi-task and demonstrate change agility with an evolving workload and ability to communicate upwards when competing priorities arise.
  • Strong interpersonal and communication skills - both verbal and written - with an ability to build working relationships across various departments with individuals at different experience levels.
  • Strong Excel skills.

Knowledge & Skills:
  • Undergraduate or Post-Graduate degree in Accounting required.
  • 10-15 years of experience related to alternative investments in private industry or public accounting.
  • CPA strongly preferred.
  • Solid understanding of Investment Company financial reporting required.
  • Experience with distressed debt, credit instruments, foreign investments, and/or originated loans - preferred.
  • Knowledge or exposure to Investran and/or Virtual Portfolio Manager ("VPM") or similar portfolio accounting system - a plus.