Position Title: Senior Accountant, Private Equity Joint VenturesCompany: Reef CapitalSalary: $80,000-$100,000Location: Lehi, UT; Hybrid RoleAbout Reef: Reef is a Utah-based vertically integrated investment and development firm founded in 2005. Reef's team is currently involved in some of the most prominent development transactions in Utah and other targeted geographies across the United States.Built on two decades of success, our investment approach combines proven expertise with purposeful innovation. Reef's team has completed more than 500 transactions across all lines of business. In addition to our real estate investment strategy, Reef and/or affiliates own and operate various businesses that add significant long-term value to its projects. We have grown rapidly, growing from about 25 employees to well over 400, with managed assets on behalf of over 750 institutional and individual partners worldwide. With the motto "Expect the Best," Reef's most prominent developments include Black Desert Resort, a $2 billion luxury resort in Ivins, Utah; Marcella, a luxury private golf community in Park City, Utah; Tributer Resort, Virginia's newest premier private lakeside golf destination; Cornerstone Club, a 5,000-acre residential community, private club, and resort in Telluride, Colorado; Sweetens Cove, a renowned and evolving golf destination nestled in the Tennessee Valley; and the restoration of the historic Coco Palms Resort in Wailua, on the island of Kauai, Hawaii.At Reef, our mission is to recruit, develop, and retain entrepreneurial individuals who desire to build and create something long-lasting and meaningful. Our business enables bright, committed people to work in high-performing teams within an environment that allows each person to achieve their professional objectives. Reef values a strong culture dedicated to the health and well-being of our employees. Position Summary: Reef is seeking a highly motivated and detail-oriented Senior Accountant to support the accounting and reporting functions across a complex portfolio of joint venture investment entities. This role will oversee accounting operations for multiple private equity investment structures, including private equity, real estate, and general joint venturesThe ideal candidate will bring strong technical fund accounting expertise, experience working within multi-entity investment structures, and a deep understanding of GP/LP allocations, blockers, feeders, and investor reporting. Responsibilities:Financial Reporting & CloseLead month-end close and prepare monthly financial statements and supporting workpapersMaintain accrual-based financial recordsSupport budgeting, forecasting, and budget-to-actual analysisPartner with leadership on the financial health and performance of assigned entitiesPrepare year-end financial statements, tax reporting, and audit support schedulesDeliver ad hoc reporting and data summaries as neededAccounting OperationsOversee accounts payable, accounts receivable, cash management, and general ledger activityReview and approve transactions, journal entries, and reconciliationsManage compliance requests related to tax, audit, and insuranceStand up accounting operations for new venturesLead transitions of accounting functions between internal and external teamsProcess Improvement & AutomationDesign and implement accounting procedures and internal controlsLead accounting software implementations and system conversionsIdentify and drive automation opportunities to improve efficiencyTeam Leadership & TrainingTrain and mentor staff accountants and internsDocument processes and operating proceduresPlan workload, delegate tasks, and manage transitionsSupport interviewing and onboarding of new hiresQualifications:Bachelor's degree in Accounting or Finance required CPA designation strongly preferred and effectively required for success in the role 3-5 years of relevant fund accounting experience, preferably within private equity settingsStrong understanding of joint venture structures, including multi-entity arrangements, blockers, feeders, and GP/LP allocations Experience preparing and reviewing NAV calculations, investor capital accounts, financial statements, and audit support materials Strong technical accounting knowledge and familiarity with GAAP reporting requirements Advanced Excel skills and strong attention to detail Ability to manage multiple priorities in a fast-paced environment while maintaining accuracy and organization Strong communication and collaboration skills with the ability to work effectively across internal and external stakeholdersCompany Benefits:401(k) Plan with Company MatchGenerous Health Plan with HSA MatchFlexible Paid Time-offDaily Company LunchesCell Phone Service AllowanceDiscounts at Company-owned Resorts and Golf Courses
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