
Antler
Remote Jobs
Go Further, Faster.
4 Jobs
• Define and lead the strategic roadmap for investment execution, investor relations, and portfolio management initiatives. • Serve as a key operational member of the Investment Committee, advising fund partners on structuring and complex financial due diligence. • Oversee and direct the governance, legal, compliance, and operations functions for the Antler Elevate, ensuring best-in-class risk management. • Develop and implement the annual financial strategy, including providing strategic oversight of all financial activities, budgeting, expense classification, and vendor payments. • Manage the relationship with the fund administrator and AIFM to ensure timely approval and execution of all transactions and alerting fund partners to issues when needed. • Direct the entire fund reporting cycle, including final approval of annual financial statements, external audits, and tax filings with global regulators. • Cultivate and manage high-level relationships with key external stakeholders, including Limited Partners (LPs), governmental regulatory bodies, legal advisors, and auditors. • Act as an individual contributor, demonstrating the ability to balance high-level strategic planning with hands-on execution of daily tasks. • Provide high-level strategic support to portfolio companies on financial, operational, and governance matters. • Other ad-hoc administrative duties as required.
• Managing day-to-day financial transactions across multiple entities and currencies • Supporting accounts payable, accounts receivable, and cash management processes • Preparing and posting journal entries with a strong understanding of underlying business activity • Performing balance sheet reconciliations across entities and regions • Supporting month-end close processes and improving timelines and accuracy • Maintaining organized and audit-ready financial documentation • Reviewing and validating financial data to ensure completeness and accuracy
• Managing day-to-day financial transactions across multiple entities and currencies • Supporting accounts payable, accounts receivable, and cash management processes • Preparing and posting journal entries with a strong understanding of underlying business activity • Performing balance sheet reconciliations across entities and regions • Supporting month-end close processes and improving timelines and accuracy • Maintaining organized and audit-ready financial documentation • Reviewing and validating financial data to ensure completeness and accuracy
• Managing day-to-day financial transactions across multiple entities and currencies • Supporting accounts payable, accounts receivable, and cash management processes • Preparing and posting journal entries with a strong understanding of underlying business activity • Performing balance sheet reconciliations across entities and regions • Supporting month-end close processes and improving timelines and accuracy • Maintaining organized and audit-ready financial documentation • Reviewing and validating financial data to ensure completeness and accuracy