Overview In this role, you will oversee accounting and financial reporting for real estate investments and funds, coordinating audits and tax filings. You'll partner with fund operations, admins, and investment teams to ensure accurate performance reporting. The role involves implementing process and system improvements, and supporting corporate reporting and strategic finance initiatives. You will lead a professional team and align stakeholders to uphold sound controls and governance.
Compensation / Benefits- Flexible paid time off
- Hybrid work schedule
- 401(K) matching of 100% up to 6%
- Health & wellbeing benefits
- Parental Leave benefits
- Employee stock purchase plan
Responsibilities- Oversee third-party fund administrators and service providers to ensure timely, accurate reporting and ongoing process improvement.
- Serve as primary contact for accounting, NAV close, valuation, audit, performance and treasury matters with third-party administrators.
- Coordinate cross-functional initiatives to improve data accuracy and reporting across platforms.
- Communicate effectively with global teams, external parties, and clients.
- Support process changes and system initiatives to enhance reporting efficiency and accuracy.
Key requirements- CPA required
- 10+ years in progressive fund finance or related roles with significant real estate experience
- Experience managing complex fund operations and administrator oversight
- Leadership and ability to mentor and develop internal teams
- Strong communication, stakeholder management, and technical finance skills
- Deep knowledge of US GAAP and real estate fund structures
- leadership
- communication
- stakeholder management
- US GAAP
- fund accounting
- treasury coordination