About Waterton
Waterton has grown from very humble beginnings with one phone and two desks to the successful, nationally recognized real estate investment and management firm it is today. As Waterton has evolved and grown, one thing has remained constant - the drive to achieve results by exceeding expectations. For 30 years Waterton remains passionate about delivering an incredible Resident Experience, which we believe is made possible by offering an extraordinary experience for our talented associates. We value performance that delivers experiences that exceed expectations, coupled with an unwavering commitment to Investor, Guest, and Resident service excellence. Overall, we are a collection of people who strive daily to "find the good and leave it better".
Job Summary
The Portfolio Accounting & Reporting Manager is responsible for managing a team of senior and/or staff accountants and the related accounting functions for multifamily investment vehicles.
How you will contribute to our team:
Responsible for management of the employment cycle for senior and/or staff accountants in accordance with company policy, including:
Recruitment, selection, and hiring
Orientation, training and development
Performance management and coaching
Develop, coach and manage direct reports, ensure the Waterton Way is faithfully executed
Responsible for Venture monthly close process, including subsidiary portfolio of investments and entities, asset management fees, and incentive fee waterfall calculations
Review recording of fair market values quarterly for real estate and debt and quarterly performance returns at the property, investment, fund and investor levels (IRRs, TWRs, etc.) including submission to NCREIF indices
Review quarterly and annual financial statements, capital account statements and other reporting to investors and/or consultants
Oversight of Fund liquidity, reserves, and any subscription credit facility arrangements. Facilitate analysis and recommendation of capital calls and distributions and associated notices to investors
Review annual budgets and periodic forecasts of non-operating expenses and reserve receipts and compile into cash flow projections for various investment vehicles
Responsible for Investor Client Inquiries received via Portfolio Management and Investor Relations teams.
Proactive interaction with Portfolio Management, Investor Relations, Property Accounting, Treasury, Tax, and other internal stakeholders.
Coordinate and oversees execution of audit and tax return processes, acting as liaison with external parties.
Consult on implementation, maintenance, and management of the automated consolidation and investment reporting module of Yardi accounting general ledger system
Review acquisition, disposition, loan refinancing closing and documentation: review loan agreements, operating agreements, budgets, certifications, etc.
Research and resolve technical accounting issues for your investment vehicles.
Complete financial analysis and special projects as needed.
What You'll Bring- Desired Skills and Experience
At Waterton, we recognize that compensation and benefits are important to our associates. We offer a wide variety of benefits including:
The typical base salary hiring range for this role is $110,000.00-$125,000.00 per year, plus bonus program participation.
The pay range is a base pay only and does not include any additional compensation or bonuses that this position may be eligible for. The pay range is approximate, and the actual pay may vary depending on related work experience, certifications, education, and other job-related factors.
Waterton welcomes all.
Waterton is an equal opportunity employer. Qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender perception or identity, national origin, age, marital status, protected veteran status, or disability status.