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Booth and
Fund Accountant
Posted 3 weeks ago
About Booth

Booth is a premier business process outsourcing (BPO) and managed services provider. We partner with top-tier international companies, embedding highly-skilled professionals like you directly into their core teams. We are currently seeking a meticulous and proactive Offshore Fund Accountant to support the Finance and Accounting team of a key client in the real estate investment sector.

The Role: What You’ll Be Doing

You will be a critical extension of our Client’s Finance and Accounting team, ensuring the accurate and timely completion of accounting, compliance, and reporting tasks for their offshore and venture-level entities. This role requires precision, proactivity, and the ability to manage strict deadlines.

Key Responsibilities & Performance Expectations
Fund Accounting & Reporting
  • Performance Calculations: Prepare and update asset-level IRR and equity multiple calculations for all platform business funds quarterly (with a deadline of 45 days post-quarter-end).

  • Loan Management: Update the Loan Dashboard quarterly by liaising with internal and external joint venture partners to accurately reflect final loan balances, interest rates, and Loan to Value Ratios.

  • Cash Management: Complete monthly bank reconciliations and prepare/update cash summaries for select venture-level entities, ensuring all journal entries and cash movements are accurately reflected.

  • NCREIF Data: Download and reconcile quarterly NCREIF data for jointly managed funds and submit the file to the internal contact within 18 business days of quarter-end.

Compliance & Accounts Payable Support
  • Expense Auditing: Review and approve Client employee expense reimbursement reports in Certify/Emburse weekly, ensuring 100% accuracy, policy compliance, and proper invoice matching.

  • Billbacks & Allocations: Review corporate billbacks and shared-costs allocation files (travel, subscriptions, software) by verifying ACH information and preparing timely responses to the corporate accountant.

  • Tax Documentation: Prepare W-9 forms for entities upon request and assist with tax return preparation requests (e.g., pulling and uploading GL details for external tax advisors).

  • Invoice Management: Organize and distribute vendor invoices (e.g., CT Corp) for payment processing.

System & Audit Support
  • Assist the team with audit support requests (e.g., gathering bank reconciliations, statements, audit confirmations) in a timely manner.

  • Assist with Yardi JE uploads and tie-outs upon request.

  • Perform retained earnings transfers for all Client funds in Yardi annually.

  • Provide timely and accurate support for any fund-specific and ad-hoc tasks as needed.

Qualifications and Skillset Requirements

Must-Haves

  • Experience: 3–4 years of progressive accounting experience, with a minimum of 2 years in audit or public accounting preferred.

  • Technical Skills: Proficiency in Excel, Word, and PowerPoint is required.

  • Documentation: Demonstrated strong documentation and reconciliation skills with a commitment to maintaining a consistently low error rate.

  • Work Ethic: Ability to work independently, proactively, and collaboratively, with a strong team-oriented work ethic and a positive, professional attitude.

  • Soft Skills: Excellent communication, organization, and multitasking abilities with a proven capacity to prioritize deadlines.

Nice-to-Haves (Preferred, But Not Required)
  • Certification: CPA preferred.

  • Industry: Prior real estate background is a strong advantage.

  • Accounting Standard: Prior experience with U.S. GAAP accounting.

About The Company

Status

Accepting Applications

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