["Sr. Fund Accountant","Sr. Fund Accountant"]

Blake Smith Staffing LLC
  • Dallas
    3 days ago

    Job Description

    Overview

    A leading global private equity firm with a diversified, multi-strategy commercial real estate platform is seeking a Senior Fund Accountant to join its Finance & Accounting organization. This role reports directly to the Group Controllers and is responsible for fund-level financial reporting, performance analytics, regulatory compliance, and investor reporting across a complex portfolio of real estate investment vehicles.

    The ideal candidate brings strong real estate fund accounting experience, deep technical knowledge of US GAAP/IFRS, and the ability to manage sophisticated investment structures, consolidations, and valuation processes.

    Key Responsibilities

    Financial Reporting & Performance Analysis
    • Analyze operational and financial performance at the client, fund, and portfolio levels, including variances in:
    • Interest income/expense
    • ROI, ROA, ROE
    • Cash and asset management fees
    • AUM and NAV
    • Short-term gains/losses
    • Commitments and contingencies
    • Appreciation, owner equity, debt, dividends, and distributions
    • Prepare period-end financial reports for ordinary and qualified trust funds, pooled vehicles, and managed property funds.

    Fund Accounting & Regulatory Compliance
    • Complete SOX documentation, internal controls testing, and support audit requirements.
    • Set up new legal entities in the core accounting system based on review of contracts for pooled asset, trust, and managed investment funds.
    • Ensure compliance with US GAAP, SEC, and IFRS standards across all reporting activities.

    Valuation, Reporting & Consolidations
    • Prepare:
    • AUM and NAV calculations
    • Elimination reconciliations
    • Waterfall and carried interest calculations
    • Minority interest entries
    • FMV audit adjustments
    • Loan financing entries
    • Property acquisition/disposition accounting
    • Consolidated financial statements
    • NCREIF data submissions
    • Debt capitalization schedules
    • Oversee property-level and consolidated reporting for complex investment structures, including SPVs and directly held assets.

    Cash Management & Investor Reporting
    • Calculate portfolio investment returns, cash forecasts, and liquidity needs for operational activities.
    • Prepare dividend distribution schedules and shareholder repayment calculations for domestic and international investors.
    • Manage recurring and ad hoc investor and performance reporting packages.
    • Complete external third-party audit confirmation requests and provide fund-level and investor-level performance results.

    Qualifications
    • Bachelor's degree in Accounting, Finance, or related field; CPA strongly preferred.
    • 3-7+ years of experience in real estate fund accounting, private equity, or investment management.
    • Strong understanding of closed-end fund structures, SPVs, REITs, and multi-strategy real estate vehicles.
    • Expertise in US GAAP, IFRS, SEC reporting, and SOX compliance.
    • Advanced proficiency in financial modeling, consolidations, and performance analytics.
    • High attention to detail, strong ownership mentality, and ability to manage multiple priorities.
    • Excellent communication skills and the ability to collaborate with investment teams, auditors, administrators, and senior leadership.

    What This Role Offers
    • Direct visibility with Group Controllers and senior leadership
    • Opportunity to work across a global, multi-strategy real estate platform
    • High-impact role with ownership of complex fund structures and reporting processes
    • A collaborative, growth-oriented environment with strong career advancement potential

    Numbers & Facts

    LocationDallas

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