Job Openings Fund Finance Associate Attorney

About the job Fund Finance Associate Attorney

About the company:

Home to a team of attorneys who provide expert advice to some of the most sophisticated financial institutions, numerous Fortune 100 companies, government bodies, charitable organizations, healthcare institutions, and individual clients. our client offers innovative solutions to a broad spectrum of legal and financial challenges, including but not limited to antitrust, banking, bankruptcy and insolvency, corporate finance, corporate governance, energy and commodities, environmental, healthcare, insurance, intellectual property, investment funds, litigation, mergers and acquisitions, municipal finance, private equity, private wealth, real estate, regulation, restructuring, securitization, structured finance, tax matters, and white-collar matters.

Our client is consistently recognized for its expertise in areas such as capital markets, financial restructuring, and mergers and acquisitions. Our clientele prominently features banks and other financial institutions. We provide services to other large corporations, government entities, healthcare organizations, nonprofits, and individuals.

Requirements:

Candidate will have the following: Minimum 3 years of relevant experience engaging in syndicated fund formation, syndicated lending, commercial lending, asset-based lending, leverage finance, CLOs, NAV financings, or acquisition financings ; Experience in a large law firm setting (experience will be current or very recent) ; Involvement in a full spectrum of real estate transactions, spanning all types and sizes.

Stellar academic credentials (Law Review and/or Moot Court accolades desired); Strong research, verbal & written communication skills, and analytic skills required ; NY Bar.

Excellent work environment and benefits package with competitive compensation commensurate with experience.

Day to Day Responsibilities:

Responsibilities include, but are not limited to:

  • Representing a diverse clientele including private equity sponsors, hedge funds, and financial institutions.
  • Managing the capital structure, liquidity, and financial operations of investment funds (e.g., private equity, real estate).
  • Structuring and negotiating capital call facilities, NAV loans, and hybrid credit solutions to bridge investor capital calls, enhance liquidity, and support stronger fund-level returns.
  • Overseeing cash-flow management, including initiating capital calls from Limited Partners and distributing proceeds from realized investments.
  • Maintaining accurate financial records, preparing fund-level financial statements, and delivering regular performance reporting (IRR, TVPI) to investors.
  • Assessing the fair value of portfolio investments in accordance with ASC 820 and ensuring compliance with all tax, regulatory, and legal requirements.
  • Developing dynamic fund forecasts and scenario models to manage reserves and project future cash needs.
  • Managing the legal and regulatory complexities of private markets.

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