Job Details
Hybrid / Remote
Salary: $130,000 - $150,000 per year
Job Details
Work closely with complex private equity real estate clients spanning development projects, diversified commercial and residential portfolios, and hospitality investments. This role operates as a trusted advisor, driving high-impact financial reporting, navigating complex multi-entity structures, and delivering exceptional client service that supports strategic decision-making.
Key Responsibilities
Prepare and review consolidated financial statements for parent entities and multiple subsidiaries under GAAP or tax basis reporting, ensuring timely monthly, quarterly, and annual deliverables.
Manage a portfolio of high-profile real estate clients, balancing competing priorities while maintaining exceptional quality, organization, and responsiveness.
Review and analyze client general ledgers and supporting schedules across multi-entity structures to identify accounting issues, misclassifications, and process improvement opportunities.
Reconnect complex intercompany activity and investment transactions, ensuring accuracy and completeness in consolidated reporting.
Record and review advanced adjusting journal entries, including accruals, allocations, partnership equity activity, and investment-related transactions.
Partner with client accounting teams to provide technical guidance, improve reporting consistency, and implement best practices.
Oversee engagement workflows, ensuring deadlines and client expectations are consistently met.
Mentor and develop junior team members through technical review, coaching, and training.
Qualifications
Bachelor's degree in Accounting or related field
CPA preferred
5–8+ years of accounting experience with significant exposure to private equity real estate, real estate funds, or multi-entity real estate structures.
Strong understanding of partnership accounting, consolidations, and real estate financial reporting.
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