A Real Estate Investment Manager is looking to hire a Fund Finance Associate. The Fund Finance group is responsible for the fund performance analysis and all aspects of
accounting and reporting related to the Real Estate funds, with a focus on supporting
operational and business planning in a dynamic, fast-paced environment.
Responsibilities
Review and prepare quarterly and annual financial statement packages including investor
capital reporting
Conduct variance analysis of financial results against budgets, forecasts, and actuals,
identifying key drivers and effectively communicating insights to stakeholders
Financial analysis and delivery of KPI’s on an ongoing basis to all stakeholders (senior
management, investors, lenders, regulators, etc.)
Coordinate all aspects of Fund administration related to managing Funds with external
administrators and advisors
Manage the Fund Sources; Uses, spanning multiple Funds in both the investment period and
value creation stages of a Fund’s lifecycle
Required Qualifications
3+ years of experience in public accounting or private equity fund finance/accounting required,
demonstrating a solid foundation in financial analysis and accounting principles – real
estate/private equity experience is preferred
Demonstrated background in FP&A, corporate finance and/or real estate private equity-related
roles is a plus