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Fund Accounting Manager

Hackman Capital

Culver City, california


Job Details

Full-time


Full Job Description

SUMMARY:

The Fund Accounting Manager will oversee and perform detailed reviews of the monthly, quarterly, and annual accounting and reporting process for private investment vehicles with commercial, industrial, and studio property holdings. The core values of the Accounting department are collaboration, drive, and accountability. Each member of the team adds value and delivers results; they are proactive in anticipating and solving problems and thrive in a fast-paced entrepreneurial environment.

RESPONSIBILITIES:

The Fund Accounting Manager will assist the Fund Controller in overseeing internal accounting staff and third-party fund administrators that maintain the books and records of private equity real estate investment vehicles. Responsibilities will include:

  • Accounting for and reconciliation of cash and real property investments
  • Recording of purchase and sale transactions and operating income
  • Estimating and posting of closing accruals
  • Calculation of management and other fees paid in accordance with governing documents
  • Review of expenses charged to each investment and investment vehicle
  • Calculating income and expense allocations to each investor and distribution waterfall based on the terms of the governing documents
  • Determining and preparing capital calls and distributions
  • Calculation of performance metrics for each investment and investment vehicle
  • Preparation and review of quarterly and annual reporting to internal management and investors
  • Treasury functions including monitoring credit facility covenant compliance, liquidity management and cash projections, review of cash transfers and validation of payment instructions
  • Coordinating with external auditors to complete annual financial statement audits
  • Assisting with investor due diligence and reporting requests; responding to investor inquiries by providing timely and accurate responses to Investor Relations
  • Performing other tasks as required

Requirements

SKILLS AND QUALIFICATIONS:

  • Bachelor’s degree in Accounting or Finance, CPA is a plus
  • Minimum 4-6 years accounting experience with a mix of public accounting and the investment management or real estate industry; fair value investment company accounting operations and reporting experience preferred
  • Understanding of investment fund accounting and real estate partnership distribution waterfalls
  • Solid analytical skills, a high attention to detail and ability to detect, understand and resolve complex problems
  • Self-motivated with a strong work ethic, sense of ownership and follow-through
  • Great organizational skills and ability to handle complicated work efficiently and effectively
  • Ability to multi-task, prioritize work, and meet deadlines
  • Superior written and verbal communication skills
  • Skilled at working both independently and in a team-oriented, collaborative environment
  • Proficiency in Microsoft Excel

Salary Range: $90-130k annual

Benefits

  • Complimentary on-site valet Parking
  • Lunch ordered on-site 3x week
  • Well stocked pantry with "healthy" snacks
  • Regular social events/team building
  • 100% employer paid benefits for employee
    • Generous coverage for dependents
  • Generous 401k
  • Dog Friendly workplace
  • Generous Holidays Off

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