Fund Accountant assisting with financial statement preparation and client relationships in the real estate sector. Joining a fast-growing accounting and advisory firm with a flexible work culture.
Responsibilities
Contribute toward a team covering one or more client relationships
Assist in the preparation and review of financial statements
Prepare general ledger and work paper files for accuracy and completeness
Prepare Partner Capital reports including Partner P&L
Calculate monthly interest accruals, management fees and capital allocations
Reconcile cash balances daily for multiple accounts
Support the year-end audit process
Requirements
Bachelor’s degree in Accounting or equivalent field
1+ year of private equity fund accounting experience
CPA or parts passed towards completion (preferred)
Master’s degree in Accounting or equivalent field (preferred)
Experience using Yardi and/or MRI (preferred)
Benefits
flexibility to manage your days in support of our commitment to work/life balance
multiple top “Places to Work” awards
continuing education opportunities
opportunities to take on new responsibilities and become business leaders
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