Assistant Controller — CLO Products

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📍 London, New York💰 USD 120K+

About this role

Position Overview:

We are seeking a Assistant Controller (level commensurate with experience) to oversee the accounting, financial reporting, and operational control functions for our
Collateralized Loan Obligation (CLO) product suite within a global, systematic, multi-strategy hedge fund. This role sits at the intersection of fund accounting, structured credit operations, and external reporting, and requires close, ongoing collaboration with
independent trustees, fund administrators, and collateral agents. The successful candidate will be a key control point for the accuracy, timeliness, and integrity of CLO-related financial information provided to internal stakeholders and external parties (investors, lenders, auditors, and regulators).

CLO Accounting & Reporting

  • Oversee the full accounting lifecycle for CLO vehicles, including collateral accounting,
    waterfall mechanics, and compliance test reporting (OC/IC tests, collateral quality tests)
  • Review and approve monthly/quarterly trustee reports, payment date reports, and note
    valuation reports for accuracy against internal books and records
  • Coordinate with independent trustees and fund administrators to reconcile collateral
    positions, cash activity, and NAV calculations
  • Review distribution waterfalls and payment calculations ahead of each payment date

PnL and Management Reporting

  • Review daily/monthly PnL for CLO strategies, investigating and resolving breaks
    between trading systems, administrator records, and trustee reports
  • Prepare and review management-level financial packages summarizing CLO
    performance, fees, and risk/return metrics for internal leadership and investment teams
  • Support attribution analysis distinguishing mark-to-market movements, realized
    gains/losses, and interest income/expense

External and Investor Reporting

  • Prepare or review financial statements, investor letters, and capital account statements related to CLO vehicles
  • Serve as a primary point of contact for fund administrators and independent trustees on accounting treatment, reporting timelines, and issue resolution
  • Support external audit processes (annual audits, agreed-upon procedures) including preparation of audit schedules and responses to auditor inquiries

Controls & Process

  • Maintain and strengthen internal controls over CLO financial reporting, including
    reconciliations between the collateral manager’s books, trustee reports, and
    administrator NAVs
  • Identify and implement process improvements and automation opportunities across CLO reporting workflows
  • Ensure compliance with governing documents (indentures, collateral management
    agreements) from an accounting and reporting perspective
  • Partner with Operations, Legal, and Compliance on new CLO issuances, resets,
    refinancings, and wind-downs

Required Qualifications:

  • Bachelor’s degree in Accounting, Finance, or related field; CPA strongly preferred
  • 5–10+ years of relevant experience in fund accounting, structured credit, or CLO administration (asset management, fund administrator, trustee, or public accounting background considered)
  • Direct hands-on experience with CLO structures — collateral accounting, waterfall mechanics, and trustee/administrator reporting — is required
  • Strong understanding of loan/credit instruments, GAAP, and relevant regulatory reporting requirements
  • Experience working directly with trustees, fund administrators, and auditors
  • Advanced Excel skills; experience with fund accounting or CLO-specific systems (e.g.,Wall Street Office, ClearPar, Geneva, or similar) a plus
  • High attention to detail, strong organizational skills, and ability to manage multiple deadline-driven reporting cycles simultaneously
  • Excellent written and verbal communication skills, with the ability to present financial information clearly to both technical and non-technical audiences
  • Comfortable operating in a fast-paced, global, multi-strategy hedge fund environment

 

The minimum base salary for this role is $120,000 if located in New York.  This expectation is based on available information at the time of posting.  This role may be eligible for discretionary bonuses, which could constitute a significant portion of total compensation.  This role may also be eligible for benefits, such as health, dental, and other wellness plans, as well as 401(k) contributions.  Successful candidates’ compensation and benefits will be determined in consideration of various factors.

 

Frequently Asked Questions

What is the salary for the Assistant Controller — CLO Products role at squarepointcapital?
The listed salary for this Assistant Controller — CLO Products position at squarepointcapital is USD 120K+. This is an full-time role.
Where is the Assistant Controller — CLO Products position at squarepointcapital located?
This Assistant Controller — CLO Products role at squarepointcapital is based in London, New York. The position is listed as on-site or hybrid. Check the full job description or apply directly to confirm the work arrangement.
Which team or department does the Assistant Controller — CLO Products at squarepointcapital belong to?
This Assistant Controller — CLO Products position is part of the Finance department at squarepointcapital. See the full job description for more information about the team structure and responsibilities.
How do I apply for the Assistant Controller — CLO Products position at squarepointcapital?
Click the "Apply Now" button on this page. You will be redirected to squarepointcapital's official application portal hosted on greenhouse where you can submit your application directly.
When was the Assistant Controller — CLO Products job at squarepointcapital posted?
This Assistant Controller — CLO Products position at squarepointcapital was posted on Aug 13, 2026. Apply as soon as possible — early applications are often reviewed first.
Assistant Controller — CLO Products
squarepointcapital · 💰 USD 120K+
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