Finance Director
Company: Bracebridge Capital
Location: Boston
Posted on: April 1, 2026
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Job Description:
Bracebridge Capital, LLC is a leading alternative asset manager
with approximately $12 billion of net assets under management. The
firm pursues investment strategies primarily within the global
fixed income markets with the objectives of capital preservation
and absolute return without significant correlation to equity,
interest rate and foreign exchange markets. Established in 1994,
Bracebridge manages private investment funds that serve endowments,
foundations, pension funds and other institutional and
high-net-worth investors. Approximately 160 employees operate from
our office located in Boston’s historic Back Bay. The
entrepreneurial and collaborative culture at Bracebridge rewards
and supports motivated, dedicated, enthusiastic and intellectually
curious individuals. We believe our firm’s greatest asset is the
people who work here. The Finance Director will play a critical
leadership role within the firm’s finance organization, overseeing
core financial operations and serving as a key partner to senior
management. This role will have overall responsibility for
Financial Planning & Analysis (FP&A), cash management,
insurance programs, the controller function, payroll, while also
managing several firm-wide operational and risk-related functions.
The ideal candidate will bring deep experience in private funds and
financial services, strong technical accounting expertise, and a
hands-on leadership style appropriate for a fast-paced,
institutional investment environment. Key Responsibilities:
Financial Leadership & Oversight Lead the management company
operation, financial reporting, and audit coordination Maintain and
enhance internal controls, accounting policies, and procedures
Ensure accuracy, integrity and timeliness of financial statements
and internal management reporting Partner cross-functionally with
the Tax, Financial Reporting & Operations teams to ensure
integrated financial oversight Coordinate with Compliance team on
various US Treasury Department & other regulatory monitoring
requirements Report to the CFO and COO as a senior thought partner
on financial and operational matters FP&A Lead firm-wide
financial planning, annual budgeting, and monthly forecasting
processes Develop a multi-year forecast Prepare and review monthly
management reporting, variance analysis, and financial insights for
senior leadership Support strategic initiatives through financial
modeling and analysis Responsible for monthly management company
expense allocation reporting Payroll & Benefits Final review and
sign off on all bi-monthly, monthly and quarterly payrolls for all
companies Responsible for the financial analysis of the annual
benefits renewal process Evaluate benefit plan offerings to ensure
competitiveness and cost efficiency Coordinate annual review
compensation cycles with department heads for employees and
partners Cash Management Oversee and optimize the cash management
and liquidity function for the management company Review and
approve the release of all outgoing wires from management company
bank accounts Review and approve all partner distributions
Insurance & Risk Management Direct responsibility for annual
renewals of the firm’s corporate insurance program: Directors &
Officers (D&O) and Errors & Omissions (E&O) insurance
Property & Casualty insurance Coordinate with human resources,
brokers, legal counsel, and senior management on coverage,
renewals, and risk mitigation Facilities & Office Management
Oversee financial aspects of corporate infrastructure including
lease obligations, efficient internal cost structuring and vendor
management Ensure compliance with regulatory and corporate
record-keeping requirements including UK subsidiary filings Team
Leadership Manage and develop a team of five professionals across
Accounting, FP&A, and Payroll Foster a culture of
accountability, collaboration, and continuous improvement Provide
mentorship and support professional development within the team
Drive further adoption of Workday modules across the firm
Qualifications & Experience 10 years of financial services
experience, with direct private fund experience strongly preferred
Prior experience overseeing the FP&A and controller functions
Bachelor’s degree in Accounting, Finance, or a related field CPA
designation strongly preferred Strong understanding of partnership
accounting Strong technical accounting knowledge and experience
with complex financial structures Proven experience managing teams
and operating in a high-performance, in-office environment Workday
or similar ERP experience a plus. Excellent communication skills
and the ability to interact effectively with senior leadership Key
Attributes Hands-on, detail-oriented, and highly organized Strong
judgment and ability to manage multiple priorities Comfortable
operating in a dynamic, fast-moving hedge fund environment
Collaborative leadership style with a strong sense of ownership
Strategic thinker with a continuous improvement mindset Current
anticipated annual base salary range: $185k - $225k Base salary
within the range will be determined by various factors including
but not limited to the individual's experience, skills and
qualifications.
Keywords: Bracebridge Capital, Plymouth , Finance Director, Accounting, Auditing , Boston, Massachusetts