Fund Accounting Controller - Dallas - Hybrid
Numer oferty
250848
Opublikowano
03-gru-2025
Typ stanowiska
Pełny etat
Obszary zainteresowań
Księgowość/Finanse
Lokalizacja/e
Dallas - Texas - United States of America

This role is based in Dallas, TX and is a hybrid schedule


About The Role:

As a CBRE Fund Controller for CBRE Investment Accounting & Reporting Solutions, you will assist the Director in coordinating fund reporting by working collaboratively to prepare and review deliverables according to client expectations.

What You'll Do:

  • Review NAV calculations and financial packages for completion and accuracy.
  • Produce, review, and verify financial information including financial statements for commingled funds and separate accounts, providing qualitative analysis and comments.
  • Prepare financial statements and assist with audit and tax preparation and review.
  • Handle portfolio budgets, forecasts, and reports for clients and investors.
  • Monitor financial performance and provide strategic advice to the leadership team.
  • Review periodic P&L calculations at the fund and investor levels.
  • Handle the treasury and cash management function.
  • Review system prepared reports and supporting schedules for accuracy.
  • Review and sign-off on fund level bank account reconciliations.
  • Assist with financial institutions, handling financing arrangements and execution of loan agreements.
  • Serve as contact point for investors.
  • Maintain shareholder registries and provide data for presentations.
  • Troubleshoot issues and ensure requests are handled timely and accurately.
  • If assigned direct reports, support in areas of staffing includes selection, training, development, coaching, mentoring, appraising, rewarding performance, and encouraging retention.

What You'll Need:

To perform this job successfully, an individual will need to perform each crucial duty satisfactorily. The requirements listed below are representative of the knowledge, skill, and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform essential functions.

  • Bachelor's degree in accounting or finance and 9+ years fund accounting experience or equivalent combination of education and experience required.
  • Prior experience in fund level accounting required with real estate accounting or fund accounting software systems such as Yardi preferred.
  • Proven technical skills and expertise with GAAP, FASB, REIS, IFRS, and regional standards.
  • Knowledge of real estate terms, definitions, and real estate analytical methodology.
  • Strong coordinative skills and well-developed judgment.