Senior Accountant, Fund Accounting

Dallas

Friday, 19 June 2026

The Sr. Accountant, Fund Accounting is primarily responsible for assisting in the accounting and financial reporting related to corporate transactions of our Joint Venture (JV) and Third-Party Management (3 PM) entities. This role also assists in the preparation of capital call notices, distribution notices, management fees calculations, equity pick-ups, and other investment reporting requirements and may also assist with quarterly and annual SEC filings This associate will work closely with the accounting and finance teams, as well as other departments across the organization, in addition to assisting in various accounting analyses. The ideal candidate will have experience working full cycle fund accounting, well-developed organizational skills, an attention to detail, and a thorough knowledge of U.S. GAAP. Essential Job Duties and Responsibilities. Assist in the reporting process for JV and 3 PM entities to ensure accurate reporting within established closing and reporting calendars, including preparation and review of deliverables and adherence to established deadlines. Assist in all areas of JV entity-level accounting including, but not limited to, capital calls, distributions, debt transactions, management fees, equity pick-ups, and other expenses, and monthly and quarterly journal entries. Read and understand loan agreements. Read and understand partnership and JV agreements, 3 PM agreements, investment documents, entity structures, investment prospectuses, loan agreements, and interest rate swap agreements. Collaborate with internal and external customers and stakeholders, such as JV partner representatives, other corporate departments, field representatives, and Senior Leadership. Collaborate with internal and external teams regarding various confidential projects including working with new entities or structures and reviewing draft and final documents, agreements, and information. Aid in monthly, quarterly, and year-end variance to budget analysis. Assist with year-end and other audit inquiries. Participate in key projects and innovate processes to gain team efficiencies. Comply with policies, procedures, and controls and bring inconsistencies and problems to management’s attention. Perform other duties as assigned. Education and/or Experience. Strong knowledge of U.S. GAAP is required. Bachelor’s degree in accounting, finance, or related field is required . years in an accounting or finance related position, with fund accounting experience a plus. Experience in the real estate industry (or a large public company) is preferred. Skills/ Specialized Knowledge. Highly self-motivated and directed with an ability to effectively prioritize and execute tasks in a fast-paced, dynamic environment. Proven analytical and problem-solving abilities including the ability to identify and implement best practices that improve the team’s effectiveness and efficiency. Ability to comprehend, analyze, and interpret complex documents. Proficient with Excel and excellent written, oral, and interpersonal communication skills, including an ability to effectively present information and build and manage key internal and external relationships. High energy and a can-do attitude, exhibiting a responsible and responsive tenacity. Willingness and ability to be hands on to get the job done. Experience working both independently and, in a team-oriented, collaborative environment. Other Requirements. Must maintain professional appearance. Ability to be at work on a regular and consistent basis; overtime may be required for this position.

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