Senior Accountant, Private Fund at Realty Income
Realty Income · San Diego, United States Of America · Hybrid
- Professional
- Office in San Diego
- Fund Accounting:
- Generate accurate and timely historical cost and fair value financial statements for real estate funds, including compiling work papers and supporting documentation
- Prepare and coordinate the quarterly fund reporting package, including flash report, quarterly fund report, and investor NAV statements. Update tables and charts for performance metrics, portfolio stratification, and debt reporting schedules
- Support calculations for quarterly distribution and investor allocations, ensuring accuracy and compliance with fund agreements
- Coordinate with Accounting and Treasury on fund payments, including capital fundings and distributions from investments to investors
- Prepare monthly intercompany reconciliations between Fund and management company, and coordinate with the treasury/AP team to execute payments
- Input and validate data in Yardi and other systems to support custom reporting needs
- Participate in technology and process improvement initiatives focusing on Yardi, Workiva and Juniper Square
- Explore opportunities to improve, automate, and streamline strategic processes across fund reporting functions and processes
- Assist with audit support and requests for annual audited fund financial statements
- Investor Services
- Assist in responding to quarterly and ad hoc investor requests and consultant questionnaires
- Support the preparation and publication of quarterly investor reports (e.g., flash report, fund report, investor capital statements) and investor notices (e.g., capital calls, distributions) to the investor portal
- Set up individual investor contact details and permissions in the investor portal based on subscription documents and update periodically based on changes provided by investors
- Assist with maintaining a repository of investor side letters and key terms
- Assist in the preparation of investor presentations and materials
- Financial Reporting
- Support the preparation of fund reports (e.g., quarterly report, flash report, investor NAV statements) in Workiva, ensuring accurate data input and formatting
- Prepare components of the reporting package for the investor advisory committee
- Roll forward quarterly reports in Workiva and coordinate content input among internal and external stakeholders; manage versions and approvals from draft until final
- Roll up property-level returns into fund-level composites and compare to benchmarks
- BS in Accounting/Finance
- 5+ years of previous experience in industry or public accounting, preferably with REIT or real estate industry experience
- Experience with private fund reporting is preferred
- Certified Public Accountant (CPA) or working toward a CPA license
- Ability to execute in ambiguous situations and take the lead without explicit instructions
- Ability to work in a fast-paced environment and meet reporting deadlines
- Strong financial acumen; facile with all of the company’s key financial statements
- Strong oral and written communication skills, including the ability to explain accounting concepts to non-accounting leaders
- Experience with Yardi software and Workiva is preferred
- Strong PC skills, including Outlook, Word, and PowerPoint.
- Excellent PC skills in Excel
- Ability to adapt to ever-changing requirements and creatively solve problems effectively and efficiently with a high degree of accuracy.