2-4 years of tax experience in the asset management sector, ideally with focused exposure to Venture Capital or Private Equity funds Proven ability to prepare and/or review partnership returns and Schedules K-1, with experience interpreting partnership agreements Strong communication skills and the ability to manage high-volume investor and portfolio company inquiries with professionalism Familiarity with multi-state and foreign filing obligations, including foreign investor reporting Interest or experience in automation, process improvement, or data-driven operations CPA or EA designation (or active eligibility) preferred