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Venture Capital Controller Jobs in Iowa (NOW HIRING)

Venture Capital Controller information

What is a venture capital controller?

A Venture Capital Controller is a finance professional responsible for overseeing the financial operations and reporting of a venture capital firm. They manage accounting, budgeting, and financial compliance, ensuring that all transactions align with regulatory requirements and investor agreements. Their role often includes preparing financial statements, managing audits, and supporting the firm's investment activities by providing accurate financial data. Venture Capital Controllers play a critical part in maintaining the financial health and transparency of the firm.

What are the key skills and qualifications needed to thrive as a venture capital controller?

To thrive as a Venture Capital Controller, you need deep expertise in accounting, financial analysis, and fund management, usually backed by a CPA or relevant finance degree. Proficiency with fund accounting software (like Investran or eFront), advanced Excel skills, and knowledge of SEC regulations are commonly required. Exceptional attention to detail, strong communication, and problem-solving abilities help you navigate complex transactions and reporting. These skills are essential to ensure regulatory compliance, accurate fund reporting, and effective financial oversight in the fast-paced venture capital environment.

What are the common challenges faced by a venture capital controller when managing fund operations?

Venture Capital Controllers often encounter challenges related to complex fund structures, evolving regulatory requirements, and coordinating with multiple stakeholders such as fund managers, portfolio companies, and auditors. Balancing timely financial reporting and compliance while maintaining accurate records of capital calls, distributions, and valuations can be demanding. Effective communication and strong organizational skills are essential to ensure smooth fund operations and to support the investment team’s decision-making process.

What is the difference between Venture Capital Controller vs Fund Accountant?

AspectVenture Capital ControllerFund Accountant
CredentialsCPA or equivalent, finance degreeCPA or accounting certification
Work EnvironmentVenture capital firms, private equityFund management companies, investment firms
ResponsibilitiesFinancial reporting, compliance, fund valuationTransaction processing, NAV calculation, record keeping

The Venture Capital Controller oversees financial reporting and compliance within venture capital firms, focusing on fund valuation and investor reporting. In contrast, a Fund Accountant handles transaction processing and NAV calculations. While both roles require accounting credentials and work in investment environments, the Controller has broader responsibilities related to fund management and strategic financial oversight.

What are popular job titles related to Venture Capital Controller jobs in Iowa?

For Venture Capital Controller jobs in Iowa, the most frequently searched job titles are:

What job categories do people searching Venture Capital Controller jobs in Iowa look for?

The top searched job categories for Venture Capital Controller jobs in Iowa are:

Vice President, Carlyle AlpInvest Finance & Operations

Clarion, IA

Full-time

Medical, Life, Retirement, PTO

Re-posted 7 days ago


Job description

Position Summary

Carlyle AlpInvest's Finance & Operations team is seeking an experienced VP-level professional to support the Portfolio Finance business within AlpInvest. This Fund Management/Fund Controller role will work directly with investment professionals, Portfolio Management, Finance, Tax, Legal, and external parties to ensure AlpInvest's Portfolio Finance deals and funds are properly managed from funding to exit.

The role will also partner closely with other members of the AlpInvest Operations team on daily operational functions across Primaries, Secondaries, and Co‐Investment strategies. This position requires strong accounting and finance experience, working knowledge of the private credit industry, sound organizational and analytical skills, and the ability to build rapport with investors, third‐party administrators, and various stakeholders across the firm.

The individual will take full ownership of assigned responsibilities and support the development of junior team members. In‐Office Requirement 4 days per week Responsibilities Fund Management / Operations Actively facilitate the deal close process for Portfolio Finance transactions, including liquidity analysis, due diligence, bank account setup, and other steps required in coordination with the deal team, legal, treasury, investor relations, and tax.

Coordinate with investment team, legal/tax counsel, and middle office operations team to plan and execute fund and deal closings including legal entity structuring. Assist with the formation process for all new entities and prepare documentation needed for internal Legal Entity approval; coordinate establishment of tax documentation (W8, W9) for all entities.

Coordinate liquidity management with the portfolio management and treasury team, including fund‐specific liquidity forecasts, credit facility usage and repayment, capital calls, and distributions. Oversee borrowing/repayment requests and compliance reporting across multiple credit facilities. Support investment and trade capture and activity processing in systems of record. Monitor legal compliance with various fund agreements and side letter arrangements.

Coordinate with Investor Relations on the closing of newly admitted LPs and assist with diligence requests. Review revenue projection models and budgeting and re‐forecasting files. Assist in budget and revenue forecasting for FP&A. Broadly support the team in building more efficient processes across functions and sufficiently documenting procedures and policies. Assist in strategic initiatives related to technology and process enhancements.

Fund Accounting / Financial Reporting / Investor Reporting Review quarterly fund closes based on data received from the TPA, including review of related support for all balance sheet and income statement accounts. Review accrued and realized carry calculations from the TPA. Review capital allocations and capital statements prepared by TPA. Review financial statements and related footnotes.

Facilitate the preparation and review of investor communications including quarterly reporting, annual meeting materials, LPAC meeting materials, and marketing‐related schedules and exhibits. Maintain fund gross and net models for all reporting needs, including fund performance summaries used by stakeholders across the firm. Coordinate interim and year‐end audit requests and address questions from external auditors, including coordination for SOX and SOC1 testing.

Ad hoc investor requests for ongoing reporting as well as due diligence materials. Assist with SMA reporting requirements. Valuation Review and Support Review and support the valuation team in the annual/quarterly valuation process, including maintaining joint venture model waterfalls. Responsible for preparation of valuation committee materials as well as approval by valuation committee. Assist with year‐end audit with respect to valuation‐related audit questions and requests.

Management Company Reporting Coordinate corporate deliverables and disclosures for firm's public company reporting. Review monthly management fee, expense accruals, and quarterly budget analysis as it relates to respective funds. Manage the monthly working capital review and quarterly billing of expense reimbursements and management fees with Corporate Accounting.

Tax Reporting Coordinate with in‐house and external tax teams on annual review of tax workbooks detailing book to tax differences, tax returns, partner K‐1s, and state and local tax allocations.

Requirements

Education & Certificates Bachelor's degree, required. Concentration in Finance or Accounting, preferred. CPA, preferred. Professional Experience 10+ years of overall relevant experience, required. Experience in Financial Services, required.

Preferred

Experience with Private Equity and Fund of Funds structures.

Preferred

Experience working with third‐party administrators.

Preferred

Experience with fund accounting and Investran. Experience in alternatives; familiar with fund accounting/GP/LP structures. Knowledge of U.S. GAAP with an emphasis on accounting for both closed/open‐ended fund structures. Advanced skills with Microsoft Office suite. Benefits / Compensation Anticipated base salary range: $180,000 to $200,000 (location specific to New York). Comprehensive benefits package including retirement benefits, health insurance, life insurance and disability, paid time off, paid holidays, family planning benefits and various wellness programs. Eligibility for an annual discretionary incentive program dependent on individual and organizational performance.