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Fund Accountant

U.S. Bank · Dublin, Ireland · Hybrid

Apply on U.S. Bank's site →

Goes straight to the employer's own hiring page. We never sit in between.

PayNot posted
LevelStaff
Work modeHybrid
LanguageNot stated
VisaMust already have the right to work
Asks forNo US skills mentioned
PostedOct 6, 2026
Found by usOct 7, 2026
Last checkedOct 7, 2026

Quick look

Prepare NAVs, maintain fund accounting records and produce financial statements for hedge and private equity funds.

Early careerA few years in

Worth knowing: In-office expectation of three or more days per week

What they say about visas

“This position is not eligible for visa sponsorship.”

From the posting

At U.S. Bank, we’re on a journey to do our best. Helping the customers and businesses we serve to make better and smarter financial decisions and enabling the communities we support to grow and succeed. We believe it takes all of us to bring our shared ambition to life, and each person is unique in their potential. A career with U.S. Bank gives you a wide, ever-growing range of opportunities to discover what makes you thrive at every stage of your career. Try new things, learn new skills and discover what you excel at—all from Day One. We actively uphold transparent and fair hiring practices that support individual opportunity, inclusive culture, and career mobility across all levels of our organisation. We offer meaningful opportunities for growth, a culture of inclusion, and a strong commitment to transparency and integrity in everything we do. Job Description Alternative Investments Associates and Accountants work as part of a team responsible for providing accounting, administration and investor servicing for hedge funds, private equity funds and closed-end registered products. Key accountabilities: Individuals calculate net asset value(s) and disseminate financial and performance information to the investment advisor and their investors. Acting as primary fund accountant on multiple relationships, ensures all fund accounting functions are in completed in accordance with Generally Accepted Accounting Principles (GAAP). Records trade information, income/expense activity and applies valuation of securities in the portfolio accounting system. Enters and reconciles all investor contributions and withdrawals in the partnership accounting system. Allocates fund level profits to individual investors for preparation and distribution of investor statements. Reviews and coordinates fund expense analysis and expense processing. Prepares fund financial statements, audit and tax schedules.

Read the full posting on the employer's site

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