Accounting Manager
Job
Robert Half
Washington, DC (In Person)
Full-Time
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Job Description
Our client, a prominent national real estate investment and development organization based in Washington, D.C., is looking for their new Accounting Manager. They have over $5B invested and are looking to scale up their accounting foundation to include a new real estate fund. They have a long-standing reputation and a track record of managing investments across dozens of high-profile properties. This role is ideal for someone with solid commercial real estate fund accounting expertise who thrives in a fast-paced, entrepreneurial setting. Reporting to the Controller and overseeing a staff, you will build out frameworks and drive best practices for fund and property-level accounting. You will also work across other business lines as operational needs evolve. In this exciting new Accounting Manager role, you will:
- Manage capital accounting, execution of capital calls and distributions, and investor allocations for both fund and investment vehicles.
- Calculate complex fund distribution models including comprehensive waterfall structures as outlined by partnership agreements
- Prepare fund-level GAAP financial statements on a fair value basis in accordance with
ASC 946, ASC
820 and ASC 842- Develop periodic investor and fund performance reports—helping deliver timely and accurate NAV statements, fair value analysis, and fund financials
- Supervise preparation of general ledgers, including accurate recording of tenant billings, recoveries, and adherence to current lease accounting standards.
- Provide financial support for property/asset managers, including budget preparation, variance investigation, and periodic reforecasting.
- Prepare consolidated financial reports at the fund level in line with U.S. GAAP, ensuring compliance with fair value measurement and investment company guidance.
- Oversee audit preparations and submissions, respond to information requests from audit teams, and coordinate closely with external advisors.
- Support completion of lender compliance deliverables and institutional investor due diligence.
- Direct and mentor staff accountants, providing technical training and oversight related to fund accounting and the firm's accounting systems.
- Design and enhance accounting policies, workflows, and financial controls to meet SEC-registered investment manager standards.
- Partner across departments to advance accounting and reporting initiatives for other verticals, including multifamily and opportunistic asset classes.
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