JOB DETAILS

Portfolio Accountant

CompanyNEWITY LLC
LocationChicago
Work ModeOn Site
PostedMay 27, 2026
About The Company
NEWITY is your source for small business capital. As the #1 facilitator of SBA 7(a) loans, NEWITY has helped over 125,000 small businesses secure more than $12 billion in SBA loans. Founded in 2020, NEWITY’s leading technology makes the process easy, helping businesses receive their SBA funding 3x faster than the national average. In 2025, we launched our NEWITY Growth Term Loan, offering small business owners another option for securing affordable funding. With human support every step of the way, businesses are empowered to access the capital they need to thrive. To join NEWITY’s growing small business community, visit newitymarket.com. RECENT AWARDS #596 on the 2025 Inc. 5000 List - Inc. 25 People to Change Banking in 2025 - American Banker 2024 Best Business Services Marketplace - LendVer 2023 Best Employee Retention Credit (ERC) Company - LendVer
About the Role

Description

Experience Level: 3–5 years of experience in accounting or banking  


Job Location: On-site (5 days in office) 


About Us: 

NEWITY is America’s source for small business capital, dedicated to providing access to affordable loan solutions. Achieving our vision requires more than ambition. It demands resilience, collaboration, accountability, professionalism, and a relentless drive to improve. Our culture moves fast, fosters excellence, and rewards those who lean in. It’s not for everyone, but if you’re energized by challenge, motivated by impact, and ready to grow alongside teammates who share your commitment, there’s no better place to build your career. 


Job Summary: 

As NEWITY continues to scale, we are seeking a detail-oriented Portfolio Accountant to support our growing operational and financial infrastructure. This role is critical to maintaining the accuracy and integrity of our cash operations, loan accounting, and investor reporting functions. The ideal candidate brings hands-on experience in accounting or banking environments and thrives in a fast-paced, high-growth setting. 


  Key Responsibilities: 

  • Execute waterfall processing twice per month for each vendor, ensuring accurate distribution of cash flows in accordance with partnership agreements 
  • Perform bank account reconciliations across multiple accounts, investigating and resolving discrepancies on a timely basis 
  • Maintain general ledger accuracy with expertise in FASB fee accounting and revenue recognition standards applicable to loan origination and servicing 
  • Prepare and deliver investor reporting packages, including ongoing payment remittance reconciliations, ensuring completeness and accuracy 
  • Collaborate with Finance, Operations, and Loan Servicing teams to ensure cash positions and loan data are accurately reflected in financial systems 
  • Identify process improvement opportunities and contribute to the buildout of scalable cash management workflows as the portfolio grows 

 

Benefits: 

  • Salary: $75,000 – $95,000 per year + performance-based bonus 
  • Comprehensive health, dental, and vision insurance 
  • Retirement plan with company match 
  • Paid time off and holidays 

Requirements

  • 3–5 years of experience in accounting, banking, or a related financial operations role 
  • Strong working knowledge of GAAP with specific exposure to FASB guidance on fee and revenue recognition preferred 
  • Experience with bank reconciliations, general ledger management, and cash flow reporting 
  • Exceptional attention to detail, strong organizational skills, and ability to manage recurring deadlines independently 
  • Experience preparing or reviewing investor reporting and remittance reconciliations preferred 
  • Familiarity with SBA lending (7(a) program), loan servicing, or structured finance is a plus 
  • Experience with 1502 Reporting is a plus 
  • Proficient in Microsoft Excel and accounting/ERP platforms;QuickBooks experience is a plus. 
  • Bachelor’s degree in Accounting, Finance, or a related field required; CPA or progress toward CPA is a plus 
Key Skills
Cash ManagementBank ReconciliationGeneral Ledger ManagementFASB Fee AccountingRevenue RecognitionInvestor ReportingGAAPMicrosoft ExcelQuickBooksSBA LendingLoan ServicingStructured Finance1502 ReportingFinancial OperationsWaterfall ProcessingAccounting
Categories
Finance & Accounting
Benefits
Health InsuranceDental InsuranceVision InsuranceRetirement Plan With Company MatchPaid Time OffHolidaysPerformance-based Bonus
Job Information
📋Core Responsibilities
The role involves executing waterfall processing, performing bank reconciliations, and maintaining general ledger accuracy. Additionally, the associate prepares investor reporting packages and collaborates with internal teams to optimize cash management workflows.
📋Job Type
full time
💰Salary Range
$65,000 - $85,000
📊Experience Level
2-5
💼Company Size
98
📊Visa Sponsorship
No
💼Language
English
🏢Working Hours
40 hours
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