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We are looking for a skilled Fund Accountant to manage the financial accounting and reporting for multiple real estate investment funds. This role requires collaboration with various teams, including asset management and third-party administrators, to ensure precise financial operations and compliance with fund agreements. The position is ideal for candidates with experience in real estate, private equity, or fund accounting, who are eager to contribute to accurate reporting and investor relations.
Job Responsibility:
Maintain and update the general ledger, recording daily financial transactions for assigned investment funds
Prepare comprehensive monthly, quarterly, and annual financial statements for funds and related entities
Calculate investor allocations, capital calls, and distributions following partnership agreements
Assist in preparing detailed investor reports and capital account statements
Reconcile bank accounts, investment activities, and intercompany balances to ensure accuracy
Track and record operating results at the property level as provided by property managers
Support fund performance reporting and calculations to ensure accurate data
Coordinate with external fund administrators, auditors, and tax advisors to meet compliance standards
Contribute to annual audit processes by preparing schedules and supporting documentation
Identify opportunities for process improvements and assist with specialized financial analyses
Requirements:
Bachelor's degree in Accounting, Finance, or a related field
Proven experience with month-end close processes and financial reporting
Proficiency in managing general ledger accounting and journal entries
Strong skills in account reconciliation and ensuring accuracy
Ability to conduct precise bank reconciliations and resolve discrepancies
Familiarity with fund accounting, preferably within real estate or private equity
Detail-oriented with the ability to manage complex financial data
Excellent collaboration skills to work effectively with internal and external teams