Associate - Outsourced CFO for Hedge Funds, Private Equity, & Venture Capital Funds
Company: Junonia Partners
Location: Dallas
Posted on: February 17, 2026
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Job Description:
Job Description Job Description Junonia Partners provides
Outsourced CFO and Controller services to investment advisors
across hedge funds, private equity, venture capital and
institutional investors including foundations, RIAs and family
offices. Our firm was built on the belief that sophisticated
investment organizations require more than transactional support:
they require disciplined financial infrastructure, operational
rigor, and consistently accurate execution. We focus on designing
durable solutions, strengthening control environments, and building
scalable processes that support long-term performance. Our
professionals operate as primary financial and operational experts
within our clients’ ecosystems, assuming responsibility for the
integrity, structure, and execution of critical back-office
functions. Rather than applying temporary fixes, we architect
systems that enhance reliability, transparency, and efficiency
across complex financial environments. Success in this role is
defined by sound judgment, analytical rigor, structured
problem-solving, and the ability to produce high-quality work under
demanding conditions. Build for tomorrow Integrate long-term
solutions and processes, not band-aids Serve as a partner Trusted
advisor, not just a consultant or another service provider Go the
extra mile Delivering what’s expected, on schedule is table stakes
Execution Is Foundational. Delivering accurate, timely work is the
baseline expectation. Top performers distinguish themselves through
precision, ownership, and their ability to solve complex
operational challenges while maintaining exceptionally high
standards. Position Overview We are expanding our team through the
addition of Associates, Managers, and Directors who bring a strong
foundation in investment operations and financial oversight. Each
level carries increasing scope and autonomy based on experience and
demonstrated capability. Associates assume direct responsibility
for core outsourced CFO and Controller engagements, including
supporting fund launches and leading project-based initiatives.
This role centers on ownership of time-sensitive financial and
operational deliverables, ensuring consistency, accuracy, and
structural soundness across client environments. The position is
designed for professionals who take satisfaction in solving complex
operational problems, building efficient systems, and producing
dependable, detail-oriented work. While collaboration is essential,
performance is measured primarily through execution, reliability,
and the ability to independently manage sophisticated workflows.
Work is varied and intellectually demanding, often requiring the
evaluation of incomplete information, the establishment of new
procedures, and the refinement of existing infrastructure as client
strategies evolve. Strong candidates demonstrate accountability for
outcomes, comfort operating with autonomy, and the capacity to
prioritize effectively across multiple concurrent engagements. This
role provides exposure to diverse fund structures, strategies, and
operational models, accelerating professional development well
beyond more narrowly defined positions. It is particularly well
suited for individuals motivated by mastery, technical competence,
and the opportunity to build scalable operating environments within
a growing firm. Advancement is performance-driven and based on
demonstrated impact rather than tenure. RESPONSIBILITIES Provide
outsourced CFO and Controller services to investment managers,
hedge funds, private equity, and venture capital clients. Review
NAV packages and reconcile financial reporting and investor
statements prepared by the fund administrator. This includes
re-calculation of investor allocations, management fees and
incentive allocation. For hedge fund clients, leverage
time-sensitive reconciliations of cash and P&L to identify
issues, resolve breaks and drive upstream process improvements
between the client’s OMS, the fund administrator, and the prime
broker/custodian (tri-party reconciliation). Also provide
operational support including but not limited to treasury
management, locates, and margin calls. For private equity and
venture capital funds, review capital call calculations prepared by
the fund administrator. Ensure calls and distributions are
processed timely and accurately. Lead the process for new fund
launches. Review fund documents prepared by legal counsel including
PPM, LPA, and subscription documents. Solicit bids and vet service
providers on behalf of the client including audit/tax, fund
administrator, and banks/prime brokers. Open brokerage, bank
accounts, and lines of credit. Onboard all selected service
providers and integrate each into the client’s operations prior to
fund launch. Establish key policies and procedures including
valuation polices, cash management controls, etc. Provide treasury
management services for both fund and management company entities,
including reviewing invoices, properly allocating expenses,
performing call backs, and processing payments. Assist with
investor activity processes including reviewing subscription and
redemption documents and processing cash flows in conjunction with
the fund administrator. Oversee the annual audit and tax
preparation process for all client entities, including drafting
footnotes when necessary. Serve as the main point of contact with
clients’ external audit and tax providers, fund administrator,
HR/payroll, investor relations, legal, compliance, and other
service providers. For management company clients, prepare
financial statements, cash forecasts and budgets. Continuously
refine financial and accounting processes as clients’ strategies
evolve, propose improvements, and help coordinate implementation
efforts. Provide additional operational support for clients and
advise on various issues, while staying flexible to shift focus as
client needs arise. Respond quickly to unexpected client
operational issues. REQUIRED EXPERIENCE, SKILLS AND QUALIFICATIONS
3-5 years of experience in alternative investment management
industry (Hedge Fund, Private Equity, Venture Capital). Minimum of
a Bachelor's degree in Accounting/Finance with strong academic
credentials. CPA is a plus. Advanced Excel skills. Industry
specific software such as Enfusion, EZE, etc. is a plus.
Exceptional attention to detail. Desire to be part of an
entrepreneurial environment and to help build a growing firm into a
best-in-class industry partner. Experience that demonstrates
ability to define, create, and implement processes and procedures
from the ground up. Solutions oriented mindset with the desire and
ability to effectively use all available resources to solve
challenging problems. Ability to work in a fast-paced environment
while effectively prioritizing tasks across multiple clients.
Ability to communicate effectively with clients and team members in
a manner that fosters strong relationships and instills trust and
confidence. Awareness of one’s own impact on culture, a natural
inclination to be a champion of best practices, and to lead by
example. This role is best suited for someone who enjoys taking
initiative, forming solutions, and being accountable for outcomes.
We value diversity and are committed to making hiring decisions
based on the skills and experience needed to be successful in this
role. We are an equal opportunity employer and we welcome your
application!
Keywords: Junonia Partners, Tyler , Associate - Outsourced CFO for Hedge Funds, Private Equity, & Venture Capital Funds, Accounting, Auditing , Dallas, Texas