Associate, Investor Reporting

2 months ago


Overland Park, United States SitusAMC Full time

SitusAMC is where the best and most passionate people come to transform our client’s businesses and their own careers. Whether you’re a real estate veteran, a passionate technologist, or looking to get your start, join us as we work together to realize opportunities for everyone, we proudly serve.

At SitusAMC, we are looking to match your unique experience with one of our amazing careers, so that we can help you realize your potential and career growth within the Real Estate Industry. If you are someone who can be yourself, advocate for others, stay nimble, dream big, own every outcome, and think global but act local – come join our team

This role must complete complex, multifaceted assignments necessary for the proper servicing of our client’s portfolios of commercial real estate loans and is responsible for producing concurrent professional product deliverables in a consistent and timely fashion with limited management support.

Essential Job Functions:

Approve system generated reporting, queries and related client deliverables for compliance, adherence, accuracy as determined by supporting information Manage communication (both oral and written) with various internal and external clients regarding various questions (both routine and exceptions) related to the proper servicing of the client’s CRE loans Ensure adherence to internal policies, quality standards, and management direction while meeting contractual deliverables to clients and other external parties Summarize research, as needed, to comprehensively respond to inquiries from Lenders, Audit, Rating Agency and other authorized stakeholders Design and build spreadsheet templates and/or financial models, including the coding of interrelated excel formulas, data tables and macros, to analyze the loan metrics, cash flows, amortization tables and similar debt or equity interest calculations, and, find and correct logic errors contained within Ensure compliance against Servicing Standards, internal policies, and abstracted key dates, terms/requirements from various loan and servicing documents, while identifying and addressing those provisions that warrant exception processing Prepare and deliver cash remittance reports for assigned portfolios timely and accurately based on the requirements within the various Agreements. Prepare and deliver all reporting requirements for assigned portfolios based on the requirements within the various Agreements. Ensure the collection of all servicing fees through the remittance process based on the terms within the various the various Agreements. Demonstrate teamwork by maintaining a professional attitude, proactively assisting coworkers, as well as with special projects, and working overtime when necessary to meet client deadlines Recommend process rationalization and efficiency initiatives affiliated with job responsibilities Perform QC on completed product and communicate results to team members Stay abreast of changes in industry standards Other activities as may be assigned by your manager

Qualifications/ Requirements:

Bachelor’s degree; Preferred Field of Study: finance/accounting, business or equivalent combination of education and experience Experienced professional with 5+ years of industry and/or relevant experience, typically at a Senior Analyst or Analyst level role or external equivalent. 0 – 2 years of experience in reconciliations, financial/investor reporting preferred 0 – 2 years of CREFC Reporting experience preferred Strong attention to detail and accuracy High degree of professionalism Experience with Excel, able to utilize multiple formulas and macros Excellent written, verbal and electronic communication skills Ability to work in a team environment, yet, express independent thought, with a consistent quality work product being produced Ability to manage multiple priorities and meet multiple deadlines with minimum supervision Pro-active approach to problem recognition and resolution

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