VP, Real Assets Accounting — Digital Infrastructure

Blue Owl Capital Inc.

Dallas, Northern (TX, KY)

Hybrid

USD 165,000 - 175,000

Full time

14 days+
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Job summary

Blue Owl Capital Inc. seeks a highly experienced Vice President, Real Assets Accounting - Digital Infrastructure to lead GAAP-compliant financial reporting for property-level and fund-level entities, including parallel funds and SPVs.

You will coordinate with fund administrators, external auditors, and tax advisors to ensure timely, accurate results. The role also oversees budgeting, cash flow forecasting, investor reporting, and internal control improvements.

Qualifications

  • Seven plus years of private equity real estate accounting experience.
  • Knowledge of REIT rules and tax implications is a plus.
  • Experience with third-party fund administrators, auditors, and regulatory filings.

Responsibilities

  • Lead accurate, GAAP-compliant financial reporting for property-level and fund-level entities, including parallel funds and SPVs.
  • Manage fund administrator deliverables: journal entries, capital calls, distributions, NAV calculations, investor pricing; ensure deadlines.
  • Coordinate with global auditors, fund administrators, and tax advisors for audits and filings (Cayman, Jersey, Luxembourg).
  • Primary accounting contact for lenders and institutional investors; manage debt compliance reporting and investor inquiries.
  • Present accounting, budgeting, reporting, and system matters to senior management; oversee forecasting and cash flow planning.

Skills

Private equity accounting
GAAP financial reporting
Debt/financing know-how
Cross-functional communication
Multi-location collaboration

Education

Bachelor's degree in related field
CPA preferred

Tools

Excel
Accounting software

Job description

Blue Owl Capital Inc. seeks a highly experienced Vice President, Real Assets Accounting - Digital Infrastructure to lead GAAP-compliant financial reporting for property-level and fund-level entities, including parallel funds and SPVs.

You will coordinate with fund administrators, external auditors, and tax advisors to ensure timely, accurate results. The role also oversees budgeting, cash flow forecasting, investor reporting, and internal control improvements.

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