Manager, Accounting & Financial Reporting
Pathstone
| Company | Pathstone |
| Category | Finance |
| Location | Atlanta |
| Remote | On-site (inferred) |
| Employment | Not stated |
| Level | Manager |
| Salary | Not stated by the employer |
| Posted | 25 May 2026 |
| Last verified | 30 Jul 2026 |
| Source | Employer career page (greenhouse) |
Description
Company Description: Pathstone is a growing wealth management firm serving ultra-high net worth families, single family offices, foundations, and endowments. We are united by a clear purpose: to help clients pursue their Preferred Life — with clarity, confidence, and long-term support across the full landscape of wealth and well-being.
Our services include investment advisory, as well as integrated planning and coordination across key areas such as tax strategy, risk management guidance, wealth and estate planning support, philanthropic planning, and family governance — helping clients navigate complexity and make informed decisions aligned with their goals.
With more than 20 office locations and over $100 billion in client assets under management, advisory, administration, and related services, Pathstone has expanded significantly over the past five years, reflecting sustained momentum and continued investment in our team and platform.
Pathstone is committed to making a meaningful difference for clients and their families, while fostering a supportive, purpose-driven environment for our professionals. Team members are encouraged to pursue their interests and contribute to the firm’s culture through committees and initiatives that help shape our shared mission.
Our people are our greatest asset, and we offer a competitive, flexible benefits program designed to support life both inside and outside of work. Benefits include comprehensive medical, vision, and dental coverage, flexible spending options, flexible PTO, life insurance, education support, a 401(k) plan, parental leave, and more.
Job Description: The Reporting Manager is a senior member of the Personal CFO Services team, responsible for overseeing complex accounting, reporting, and financial coordination for ultra-high-net-worth clients with sophisticated, multi-entity structures.
This individual is accountable for the integrity of the financial source of truth, ensuring all data, reporting, and inter-entity relationships are accurate, fully reconciled, and decision-ready. The role operates as a central connector across Advisory, Tax, and PCFO, delivering timely, cohesive, and high-quality financial outputs within a single family office environment.
Key Responsibilities:
Financial Reporting and Close
Lead monthly, quarterly, and annual close processes across complex multi-entity structures
Prepare and review consolidated and entity-level financial statements, including balance sheets, income statements, and cash flows
Ensure all reporting is accurate, complete, and aligned across client entities, ownership structures, and reporting periods
Perform quarter-over-quarter variance analysis and explanations
Investment and Partnership Accounting
Oversee accounting and reporting for complex investment portfolios, including private investments, partnerships, and alternative assets
Manage capital activity, allocations, distributions, and ownership tracking
Ensure consistency between investment reporting, custodians, and general ledger activity
Inter-Entity Accounting and Reconciliation
Own the full lifecycle of inter-entity accounting across complex structures, including tracking, reconciling, and resolving high volumes of interrelated transactions
Maintain clear visibility into intercompany balances and relationships across client entities
Identify and resolve discrepancies with no residual unreconciled differences
Cash Management and Reconciliations
Oversee all bank, credit card, and brokerage reconciliations across client entities
Validate cash activity against expected flows, investment funding, and distributions
Ensure timely resolution of all outstanding reconciling items
Systems and Data Integrity
Utilize Sage Intacct or comparable multi-entity accounting systems to maintain clean, reliable finan