Jobs Companies Clearwater Analytics Senior Accounting Product Manager- Alternatives

À propos de ce poste Senior Accounting Product Manager- Alternatives chez Clearwater Analytics

Clearwater Analytics · Sur site · Office - New York

We are seeking an experienced and results-driven Senior Accounting Product Manager to lead our alternative investments accounting product portfolio. In this role, you will own the backlog, development, testing, enhancement, and implementation of capabilities that support private equity, private credit, real estate, infrastructure, fund-of-funds, and other illiquid/alternative assets. You will work closely with cross-functional teams—including technology, operations, implementations, sales, and compliance—to ensure our offerings meet the complex and evolving needs of asset owners and asset managers and remain competitive in the marketplace. 

 

Key Responsibilities:

Product Strategy & Development 

  • Define and execute the product roadmap for alternative investment accounting products, aligning with company goals, client needs, and the broader investment accounting platform. 

  • Translate the nuances of alternative assets (e.g., capital calls and distributions, unfunded commitments, NAV and economic NAV, waterfalls, fee structures, secondary transactions) into clear product requirements and prioritized backlog. 

  • Conduct market research and competitive analysis focused on alternatives to identify trends, client use cases, and emerging regulatory or reporting demands. 

  • Collaborate with stakeholders to gather requirements, articulate product vision, and prioritize features for development. 

Alternatives Domain Leadership 

  • Serve as an internal subject-matter expert on alternatives accounting, including fund structures, capital account activity, performance metrics, and multi-basis/multi-GAAP reporting. 

  • Partner with accounting, valuation, and data teams to ensure accurate treatment of alternative assets across GAAP/IFRS/statutory and client-specific policies. 

  • Champion end-to-end workflows for alternatives (e.g., ingestion of capital account statements and notices, commitment tracking, NAV and book value alignment, fee and carry calculations, look-through and exposure reporting). 

Cross-functional Collaboration 

  • Work closely with product, engineering, data, operations, and client services teams to ensure successful delivery of features and enhancements for alternative assets. 

  • Collaborate with implementation and operations teams to design scalable onboarding and workflows for alternatives, including integrations with third-party administrators, GPs, and document/data providers. 

  • Act as the primary liaison between product development and external stakeholders—including key clients, partners, and, where appropriate, regulators—on matters related to alternative investment accounting. 

Client & Market Engagement 

  • Engage regularly with clients and prospects to understand their alternatives accounting, reporting, and operational needs and to validate product direction. 

  • Translate client feedback, production issues, and implementation learnings into actionable product improvements and prioritized backlog items. 

  • Deliver product demonstrations, presentations, and training sessions to internal teams and clients to drive adoption and effective usage of alternatives capabilities. 

Testing & Quality Assurance 

  • Define and oversee the testing strategy for new features and enhancements, with particular attention to complex alternatives use cases (e.g., capital account rollforwards, NAV/book value alignment, custom waterfalls, multiple bases). 

  • Collaborate with development teams to define acceptance criteria, test cases, and regression plans; facilitate user acceptance testing (UAT) with stakeholders and key clients. 

  • Ensure that delivered functionality meets high standards for accuracy, performance, and reliability across large, complex alternatives portfolios. 

Performance Monitoring & Reporting 

  • Analyze product usage, client outcomes, and operational metrics to assess the success of alternatives capabilities and identify areas for improvement or expansion. 

  • Use data and client insights to iterate on the roadmap, deprecate low-value features, and invest in high-impact alternatives workflows. 

  • Prepare reports and presentations for senior management that summarize product status, key wins, risks, and market insights specific to the alternatives business. 

Regulatory Compliance & Risk 

  • Stay informed about accounting, regulatory, and industry developments impacting alternative investments (e.g., fund reporting standards, insurance and asset owner regulations, valuation and disclosure guidance). 

  • Ensure that product design and implementation enable clients to meet relevant accounting, reporting, and control requirements. 

  • Partner with compliance, legal, and risk stakeholders as needed to assess the impact of new features and to support audit and control needs. 

 

Qualifications: 

  • 8+ years of experience in investment accounting or product management, with a strong focus on alternative investments (e.g., private equity, private credit, real estate, infrastructure, or fund-of-funds). 

  • Deep understanding of investment accounting principles and financial instruments relevant to alternatives, including capital account activity, NAV and book value, fee and carry structures, and performance measurement. 

  • Familiarity with relevant accounting and reporting frameworks (e.g., US GAAP, IFRS, and/or statutory/regulatory requirements) as they apply to alternative assets. 

  • Proven track record of successfully managing product development cycles from concept to launch in a financial or fintech environment. 

  • Demonstrated ability to translate complex accounting and operational requirements into clear, actionable product specifications and prioritized backlogs. 

  • Excellent analytical, problem-solving, and decision-making skills, with comfort working with large, detailed datasets and complex cash flow/valuation scenarios. 

  • Strong communication and interpersonal skills, with the ability to collaborate effectively across technology, operations, sales, and client-facing teams and to communicate clearly with senior stakeholders and clients. 

  • Proficiency with modern product and project management tools and methodologies (e.g., agile, Jira, Aha, backlog management, discovery and validation practices). 

Preferred Qualifications: 

  • Professional designation such as CPA, CFA, or CAIA, or equivalent experience in alternatives accounting or investments. 

  • Prior experience working for or with asset owners, asset managers, fund administrators, or service providers focused on alternative investments. 

  • Experience with enterprise investment accounting or portfolio management systems supporting alternative assets. 

Salary Range

$179,400.00 - $243,136.45

This is the pay range the Company believes it will pay for this position at the time of this posting. Consistent with applicable law, compensation will be determined based on relevant experience, other job-related qualifications/skills, and geographic location (to account for comparative cost of living). The Company reserves the right to modify this pay range at any time. For this role, benefits include: health/vision/dental insurance, 401(k), PTO, parental leave, and medical leave, STD/LTD insurance benefits. Clearwater Analytics is An Equal Opportunity/Affirmative Action Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability or veteran status, age or any other federally protected class.

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À propos de Clearwater Analytics

Clearwater Analytics (NYSE: CWAN) is transforming investment management with the industry’s most comprehensive cloud-native platform for institutional investors across global public and private markets. While legacy systems create risk, inefficiency, and data fragmentation, Clearwater’s single-instance, multi-tenant architecture delivers real-time data and AI-driven insights throughout the investment lifecycle. The platform eliminates information silos by integrating portfolio management, trading, investment accounting, reconciliation, regulatory reporting, performance, compliance, and risk analytics in one unified system. Serving leading insurers, asset managers, hedge funds, banks, corpora

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