Harrison Street is a leading investment management firm exclusively focused on alternative real assets. Headquartered in Chicago with offices in London, Toronto, San Francisco, Washington DC and New York, the Firm has more than 280-employees and over $55 billion in assets under management. Clients of the Firm include a global institutional investor base domiciled in North America, Europe, Asia-Pacific, Middle East and Latin America.
The Firm is seeking to hire an Accounting Associate to join their Portfolio Accounting & Reporting team. The ideal candidate will have at least two years of accounting experience and be successful working in a fast-paced team environment.
For Illinois Only: The expected base salary range for this position is $80,000 to $105,000. Actual salaries may vary based on a number of factors, including skills, experience, and qualifications.
In addition to base salary, total compensation at Harrison Street includes a generous discretionary bonus, along with a comprehensive range of benefits — including medical, financial, and wellness programs — designed to support our employees both professionally and personally.
Responsibilities
Coordinate with joint venture partners/3rd party managers to obtain property-level financial information.
Review property-level financial information for reasonableness and record adjustments as necessary on a fair value basis of accounting.
Perform a detailed review of property level financial statements and monthly reporting packages received from 3rd party managers and follow up as necessary.
Monitor fund-level bank accounts and record fund-level financial activity to the general ledger.
Manage cash activity for all Fund-level bank accounts, reconcile and record all cash activity to the Fund's general ledger.
Prepare opening and closing entries for acquisitions and dispositions of properties.
Consolidate property and fund level financial activity; including consolidated fund financial statements, footnotes, and supplemental financial reporting.
Responsible for maintaining Yardi general ledger for all property and fund related entities.
Record investor level activity in Yardi and generate investor deliverables (Investor Account Statements, Capital Call Notices, and Distribution Notices)
Prepare draft response for on-going investor/consultant requests relative to investor reporting.
Assist the Accounting and Portfolio Management teams with Fund cash analyses and projections to determine cash needs or cash availability for distribution.
Work directly with independent auditors to complete year end Fund audits and tax filings.
Continuous improvement attitude; ability to seek out and implement internal or external best practices.
Strong analytical abilities and perseverance to solve problems with high attention to detail
Other duties as assigned.
Requirements
Bachelors degree in accounting or finance.
2+ years of accounting experience with real estate or financial services experience preferred.
CPA preferred.
Organized, and self-directed individual eager to learn.
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