About the role:
- Ensure timely completion and delivery of financial statements for funds & investment entities including footnotes and supporting schedules for audits and investor reporting.
- Investor Distributions calculate payments of investors distributions and profit participations using investor relations software.
- Manage financial reporting recordation of acquisitions dispositions refinancings including credit lines with Fannie Mae and Freddie Mac.
- fund-level budgeting including forecasts and variance analysis
- Prepare quarterly and annual debt compliance certifications.
- Lead all real estate funds audits.
- Joint Venture Reporting
- Property Management Accounting Oversight and ensure monthly financial reporting from third-party property managers for all properties within the portfolios.
- Reviews and reconciles external property financials to Yardi and ensure property acquisitions dispositions and refinance transactions are accurately recorded by the external property management accountants.
- Reviews and processes property level capital calls and monitors property self-escrowed cash balances.
- Possesses a good understanding of how funds are being accounted for pursuant to the governing fund documents advisory agreements and other legal documents.
Systems: Yardi
Auditors: there are 12 audits as they have 16 funds: Deloitte Baker Tilly EY Haskell & White
About the role:Ensure timely completion and delivery of financial statements for funds & investment entities including footnotes and supporting schedules for audits and investor reporting.Investor Distributions calculate payments of investors distributions and profit participations using investor re...
About the role:
- Ensure timely completion and delivery of financial statements for funds & investment entities including footnotes and supporting schedules for audits and investor reporting.
- Investor Distributions calculate payments of investors distributions and profit participations using investor relations software.
- Manage financial reporting recordation of acquisitions dispositions refinancings including credit lines with Fannie Mae and Freddie Mac.
- fund-level budgeting including forecasts and variance analysis
- Prepare quarterly and annual debt compliance certifications.
- Lead all real estate funds audits.
- Joint Venture Reporting
- Property Management Accounting Oversight and ensure monthly financial reporting from third-party property managers for all properties within the portfolios.
- Reviews and reconciles external property financials to Yardi and ensure property acquisitions dispositions and refinance transactions are accurately recorded by the external property management accountants.
- Reviews and processes property level capital calls and monitors property self-escrowed cash balances.
- Possesses a good understanding of how funds are being accounted for pursuant to the governing fund documents advisory agreements and other legal documents.
Systems: Yardi
Auditors: there are 12 audits as they have 16 funds: Deloitte Baker Tilly EY Haskell & White
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