Assoc/VP, Assistant Controller
Galaxy Digital Inc. is a global digital-asset financial services and AI/HPC data-center infrastructure company.
About Galaxy Digital Inc.
Galaxy Digital Inc. operates a digital-assets platform spanning global markets, asset management, and blockchain infrastructure solutions, including trading, lending, derivatives, investment banking, staking, tokenization, and custody technology. It also develops AI and high-performance-computing data-center infrastructure, including its Helios campus. Galaxy is headquartered in New York City and has offices across North America, Europe, and Asia.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will manage accounting and operational activities for venture capital and closed-end funds. You will review NAVs, capital accounts, fees, valuations, treasury, capital calls, distributions, audits, tax processes, investor reporting, and fund records while supporting fund launches, SPVs, co-investments, and liquid hedge fund products.
Requirements
- 3-7 years of accounting experience
- Venture capital, private equity, or closed-end fund accounting experience
- Experience with capital calls, distributions, and capital account allocations
- Experience coordinating with third-party fund administrators
- Experience managing audits of closed-end fund structures
- Working knowledge of limited partnership agreements, management fees, carried interest, and waterfall provisions
- Familiarity with ASC 820 fair value measurement for level 3 illiquid investments
- CPA preferred
- Digital assets or cryptocurrency experience is a bonus
- Experience with SAFEs, convertible notes, token warrants, or direct token investment is a bonus
- Experience with SPVs and co-investment vehicles is a bonus
Responsibilities
- Review quarterly and annual fund NAVs, capital account allocations, and partner capital account statements
- Manage capital calls, distributions, commitments, contributions, and unfunded balances
- Manage fund cash, expenses, treasury, and investment closing mechanics
- Prepare quarterly Schedules of Investments and valuation committee materials
- Calculate and review management fees, carried interest, and distribution waterfalls
- Support product development, fund launches, SPVs, and co-investment vehicles
- Coordinate with legal, compliance, fund administrators, auditors, and tax preparers
- Maintain investment-level records across the portfolio
- Monitor compliance with limited partnership agreements and side letters
- Coordinate annual audits and tax processes, including review of partner K-1s
- Support liquid hedge fund products
- Use AI and automation tools to improve productivity and output quality
Benefits
- Hybrid/flexible working arrangements
- Paid flexible time off
- 3% 401(k) company contribution
- Company-paid health and protective benefits for employees, partners, and dependents
- Paid parental leave
- Family planning benefits for US employees
- Employee Resource Groups
- Free coaching and counseling sessions through Headspace
- Free daily snacks
- Weekly breakfasts and lunches
- Discretionary bonus
