We are seeking a versatile and client-focused Accounting Technology Specialist to join SS&C's Private Markets Product team. In this mid-level role, you will manage and contribute to end-to-end onboarding of private equity clients, including system configuration, data migration, and client-specific requirement fulfillment. You will work cross-functionally with operations, product, and technology teams to deliver efficient, accurate implementations that meet both operational and technology best practices.
This is a hands-on role ideal for someone with experience in private markets fund structures and accounting platforms who thrives in a fast-paced, client-driven environment.
Primary Responsibilities :
Client Onboarding & Implementation
- Lead and support the onboarding of new private equity clients, including initial scoping, planning, and execution.
- Work directly with clients and internal stakeholders to gather requirements and translate them into technical and operational deliverables.
- Manage setup of fund and investor structures, management fee and waterfall models, capital activity workflows, and reporting outputs.
System Configuration
Configure SS&C's Private Markets fund administration platform to align with client-specific requirements and operational modelsTailor system settings to support accounting, investor relations, reporting, and treasury workflowsTest and validate system configurations to ensure accurate output across modules (capital calls, distributions, NAVs, etc.).Data Migration & Reconciliation
Coordinate the migration of historical data (fund, investor, transaction, financial) from legacy systems.Perform data mapping, transformation, and validation activities with a high degree of accuracy.Reconcile migrated data with client source systems and resolve discrepancies proactively.Project & Process Management
Help manage implementation timelines, deliverables, and stakeholder communications.Document business requirements, system specifications, and process flows for future reference and audit.Contribute to continuous improvement of the implementation methodology and onboarding tools.Secondary Responsibilities :
Client Consulting & Support
Assist in gathering and documenting client-specific business and operational requirements.Help analyze client workflows and support the delivery of tailored solutions within the fund administration systems.Respond to client inquiries regarding system use, data issues, and configuration adjustments.Work with senior team members to ensure client expectations are met throughout onboarding and operational phases.Tactical & Strategic Project Support
Contribute to tactical projects such system upgrades, process automation, and platform migrationsAssist with strategic initiatives like software enhancements, new product creation and deployment and system integrationsSupport business case development, data analysis, and project documentation efforts.Collaborate with cross-functional teams on initiatives that enhance service delivery, scalability, or efficiency.Qualifications :
Bachelor's degree in Business, preferably Accounting or FinanceRelevant work experience within related fieldAlternative Investments experience (ie. Institutional Investor, Administrator, or Fund)Proficiency in Microsoft office suite (strong w / Excel tools)Experienced managing a team of people through initiatives / projects is desiredStrong written and oral communication skillsAttention to detail and proven ability to multi-taskCPA, CFA or candidate is a plus.Private Equity experience preferredFIS Investran / Other PE platform experience preferred.Skills Required
Fund Administration, Data Migration, System Configuration, Microsoft Excel