This role assists the Senior Manager with overseeing our Fund and Joint Venture (JV) accounting, month end close and reporting functions. The position will work independently and be in control of assigned properties from an accounting standpoint.
Requirements
- 7+ years of progressive accounting experience, with exposure to JV, real estate, or private equity structures.
- BS in Accounting or Finance.
- CPA required, or actively pursuing (strongly preferred).
- Strong working knowledge of US GAAP with application to complex transactions, including experience in REIT accounting, with additional emphasis on equity method accounting, fair value accounting, lease accounting, debt structures, and JV agreements.
- Experience with international real estate investments and currency translation a plus.
- Solid knowledge of financial applications, concepts, and theories.
- Demonstrated proficiency in journal entry preparation, account reconciliation and analysis.
- Advanced Excel knowledge is a must as this position will work with complex Excel spreadsheets.
- Exceptional attention to detail.
- Team player and ability to work independently.
- Proven ability to manage and prioritize multiple concurrent workstreams across complex JV and fund structures, ensuring timely delivery in a deadline-driven environment.
- Strong understanding of authoritative accounting literature that covers Real Estate and Corporate accounting groups.
- Identifying and implementing process improvements and automation opportunities.
Benefits
- medical
- dental
- vision
- life and AD&D insurance
- 401k match
- disability benefits
- wellness and education benefits
- employee stock purchase plan
- paid time off
- holidays