Fund Accountant - Real Estate Funds

Robert Half - US
New York, United States
$100K-$120K a year
Permanent
Full-time

Responsibilities

  • Review of net asset values (NAV) and investor statements, including reconciliation of fund accruals, expenses, and investor allocations of management fees and performance fees / carried interest.
  • Review of annual fund audits and quarterly and semi-annual financial statements under GAAP and / or IFRS accounting standards.
  • Liaise with third-party service providers, including auditors, tax accountants, and fund administrators.
  • Assist with tax reporting requirements of the alternative funds platform.
  • Partner with legal and operations teams to meet all regulatory and board reporting requirements.
  • Assist with the management and reporting of credit facility requirements.
  • Enhance process and controls for reconciliation and reporting.
  • Assist with investor reporting and requests.

Requirements :

  • 2+ years of Real Estate Fund Accounting experience at an Asset Manager, Fund Administrator, Private Equity or Public Accounting firm
  • Knowledge of NAV, waterfalls, GAAP, LPA / partnership agreements, and management fees
  • Bachelor Degree in Accounting or related subject
  • 30+ days ago
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