Fund Accountant - Real Estate NAV & GAAP Reporting

Landing Point

Berkeley Heights (NJ)

On-site

USD 96,000 - 113,000

Full time

14 days+
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Job summary

Landing Point, a leading global investment firm, is seeking a Fund Accountant to join its Perpetual Finance Fund Accounting team in New Jersey. You will manage day-to-day fund accounting and reporting for open-ended core real estate funds.

Responsibilities include coordinating with third-party fund administrators on cash, capital allocations, and financial statements; reviewing NAVs; calculating waterfalls; overseeing quarterly closes and GAAP financial statements; coordinating with external

Qualifications

  • Experience in fund accounting and financial reporting.
  • Knowledge of GAAP financial statements and regulatory reporting.
  • Ability to manage relationships with third-party administrators and auditors.
  • Proficiency in ensuring compliance with fund LPAs and firm policies.

Responsibilities

  • Handle day-to-day fund accounting and reporting activities.
  • Coordinate with third-party fund administrators on cash, capital allocations, and financial statements.
  • Review quarterly estimated and final NAVs.
  • Calculate waterfall and incentive models.
  • Manage the expense process and ensure LPA compliance.
  • Oversee quarterly close and GAAP financial statements for fund partnerships.
  • Coordinate with external auditors for annual audits.
  • Review regulatory reporting quarterly and annually.
  • Ensure SOX compliance with internal audit.
  • Collaborate with Tax, Acquisitions, and Portfolio Management.
  • Manage offshore team.

Skills

Fund accounting
GAAP reporting
Auditor liaison
Regulatory reporting
Vendor management

Job description

Landing Point, a leading global investment firm, is seeking a Fund Accountant to join its Perpetual Finance Fund Accounting team in New Jersey. You will manage day-to-day fund accounting and reporting for open-ended core real estate funds.

Responsibilities include coordinating with third-party fund administrators on cash, capital allocations, and financial statements; reviewing NAVs; calculating waterfalls; overseeing quarterly closes and GAAP financial statements; coordinating with external

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