Accountant

AustriaAustria - Viennamid
OtherAccountant
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Overview

FIRM OVERVIEW Massar Capital Management, LP (“Massar”) is an alternative investment management company founded in 2015.

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OtherAccountant

Massar Capital Management, LP (“Massar”) is an alternative investment management company founded in 2015. We employ a global macro trading strategy that seeks to capture investment opportunities across commodity, foreign exchange, fixed income, equity, and derivatives markets. With offices in the United States and Europe, Massar prides itself on its dynamic, entrepreneurial culture. Our investment philosophy combines fundamental understanding of individual assets with a quantitative, data-driven process. We build proprietary technology and develop statistical methods to leverage both public and in-house data sets. Our team members possess strong technical skills, a passion for problem-solving, and an intellectual curiosity about financial markets.

 

 

DESCRIPTION

Massar Capital Management (“Massar”) is an alternative investment management company founded in 2015, managing over $1.6bn in AUM as of May 2024. Massar employs a discretionary global macro trading strategy that seeks to capture investment opportunities across liquid commodity, foreign exchange, fixed income, and equity markets. Massar currently has offices in the United States and Europe.

 

ROLE OVERVIEW 

Corporate Accountant | Vienna, Austria

We are seeking an Accountant to join Massar’s Finance team in Vienna to support the finance and accounting operations of Massar's management company and its related entities across multiple jurisdictions. The successful candidate will be responsible for day-to-day accounting functions, month-end close, and reporting, while working with the Director of Finance, Controllers, Tax Advisors and multiple external vendors.

PRIMARY RESPONSIBILITIES

  • Support the monthly close for the management company in the US and the affiliate entity in Austria, working closely with the Controller and the Director of Finance
  • Prepare budgets and financial projections for the US and European entities and present them to management
  • Supervise workflow in the corporate spend management platform
  • Administer the firm’s credit card program, including review and categorization of credit card transactions
  • Collaborate with the Fund Accounting team to track and allocate research and trading-related transactions
  • Manage the accounts payable function and payment processing
  • Reconcile intercompany activity
  • Perform bank and credit card reconciliation
  • Liaise with service providers and support tax filings and regulatory reviews
  • Ad hoc projects to further optimize processes

DESIRED SKILLS AND EXPERIENCE

  • Bachelor’s degree in Accounting, Finance, or related field
  • 3-5 Years of experience
  • Strong Excel skills required
  • Strong understanding of both cash and accrual basis of accounting
  • Understanding of expense allocation
  • Strong communication skills
  • Ability to manage multiple priorities in a fast-paced environment
  • Experience with accounting systems (Quickbooks, QBO, NetSuite) a plus but not a requirement

 

The minimum salary for this position is 55,000 EUR annually. 

 

 

Listing Details

Posted
February 12, 2026
First seen
March 26, 2026
Last seen
April 18, 2026

Posting Health

Days active
23
Repost count
0
Trust Level
39%
Scored at
April 18, 2026

Signal breakdown

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