Remote Interim Controller, Commercial Real Estate Finance

Remote Employee PH

Paombong

Remote

PHP 1,339,000 - 2,009,000

Full time

9 days ago
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Job summary

Remote Employee BPO is seeking an Interim Assistant Controller (Commercial Real Estate) to oversee monthly close, reporting, and financial review for CRE assets. This role requires coordinating with third party operators and lenders, ensuring accurate coding, and delivering timely MORs.

The position emphasizes ownership of accounting cycles end-to-end, working with JV/fund structures and ensuring compliance with external audits and tax support.

Qualifications

  • Bachelor's degree in Accounting or Finance required.
  • CPA or Philippine CPA equivalent strongly preferred.
  • Minimum 7 years progressive accounting experience, incl. 4 years in CRE.
  • Experience with US-based real estate owners/operators/funds.
  • Ability to own a monthly close cycle end to end.
  • Familiarity with JV and fund structures: capital calls, distributions.

Responsibilities

  • Monthly reporting and financial review for CRE assets.
  • Deliver MORs to partners on fixed schedule.
  • Prepare quarterly reporting packages on tight timelines.
  • Provide GL coding guidance to third party operators.
  • Record depreciation and entries with third party operators.
  • Maintain close support files and MOR archives.
  • Distribute loan statements to property management partners.
  • Prepare capital calls and fund transfers as needed.
  • Route invoices to pay providers and lenders.
  • Prepare distribution memos and quarterly invoices.

Skills

English Proficiency
Attention to detail
Deadline-driven
Communication

Education

Bachelor's degree in Accounting or Finance
CPA or Philippine CPA equivalent

Tools

QuickBooks Online
Juniper Square

Job description

Remote Employee BPO is seeking an Interim Assistant Controller (Commercial Real Estate) to oversee monthly close, reporting, and financial review for CRE assets. This role requires coordinating with third party operators and lenders, ensuring accurate coding, and delivering timely MORs.

The position emphasizes ownership of accounting cycles end-to-end, working with JV/fund structures and ensuring compliance with external audits and tax support.

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