Lead Real Estate Financial Analyst

2 weeks ago


Atlanta, Georgia, United States Searchlogic Recruiting, LLC Full time
Position Overview

Exciting opportunity to join a prominent Real Estate Investment Trust (REIT) with significant exposure to Operations, Audit, Investor Reporting, and Fund Accounting. Enjoy a vibrant workplace culture, comprehensive benefits, and a flexible hybrid work environment within modern office facilities. Competitive salary and bonus potential await the right candidate.

Key Responsibilities

As a vital member of our accounting team, you will collaborate closely with our investor relations and operations departments to guarantee precise and timely financial reporting to our equity partners and regulatory agencies. The ideal candidate will possess a background in public accounting, ideally with a Big-4 firm, and experience in commercial real estate or private equity funding.

The Lead Real Estate Financial Analyst will oversee the accounting for our co-investment funds, REITs, and various investment-level entities. This role may also involve property accounting for specific properties as assigned. You will work in tandem with the property accounting and investment teams to fulfill the reporting obligations of the co-investment funds, REITs, and other investment-level entities. Additionally, you will assist in the year-end audit and tax reporting processes for these entities.

Primary Duties Include:

  • Executing monthly and annual closing activities for a portfolio of fund and REIT/TRS entities and their associated properties, including the creation of income statements, balance sheets, cash flow statements, and cash account reconciliations.
  • Conducting thorough reviews of all financial statements and reconciliations to ensure accurate reporting.
  • Preparing all quarterly and annual audited financial statements for the funds and certain underlying properties, while coordinating with auditors and tax preparers.
  • Updating and analyzing valuation waterfalls for all Fund property investments on a quarterly basis for investments held longer than one year.
  • Managing capital roll forwards for all investment-level entities to be provided to tax preparers at year-end for tax return preparation.
  • Ensuring compliance by referencing legal documents as necessary.
  • Assisting the Controller with monthly and quarterly calculations of distributable proceeds, and recording distributions received by the fund/upper-tier entity in the general ledger.
  • Overseeing the input of specific financial information such as investment-level contributions and distributions from the general ledger to the fund accounting system.
  • Calculating and recording fund-level management fees and partnership expenses in the general ledger for the co-invest funds.
  • Managing payments of fund management fees and other reimbursable items to the General Partner.
  • Staying informed on business transactions that impact the overall business, including acquisitions, dispositions, recapitalizations, amendments to operating agreements, new funds, and joint ventures.

Qualifications:

  • 2-4 years of relevant experience.
  • Public accounting experience is required; Big 4 experience is preferred.
  • Experience in fund accounting and real estate is advantageous.
  • Strong organizational, quantitative, and analytical abilities.
  • Exceptional attention to detail while managing multiple assignments under tight deadlines.
  • Comprehensive understanding of GAAP, financial accounting processes, and general ledger reconciliation.
  • Excellent communication skills to effectively interact with team members across all departments.

Benefits:

  • Competitive Base Salary
  • Annual Bonus potential
  • Opportunities for Career Advancement
  • Medical, Dental, and Vision Coverage
  • 401(k) with Company Match
  • 20% Apartment Rent Discount
  • 14 Days of Paid Time Off + 10 Paid Holidays
  • Employer-Paid Short/Long-term Disability
  • Paid Parental Leave

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