Phillipsedison

10 jobs near Columbus, OH

Position Summary Responsible for assisting the Manager of Fund Accounting, the Fund Accountant is responding to the funds' reporting needs and information requests. Assist in preparing and reviewing ...

Position Summary The Claims & Risk Analyst supports the corporate risk management department in the administration and analysis of property and casualty claims and related insurance activities. This ...

Lease Accounting Coordinator

Cincinnati, OH ยท On-site

$20.75 - $27/hr

The Lease Accounting Coordinator is responsible for comprehensive tenant lease setup, maintenance and lease review from both a technical classification perspective and for accuracy from a legal ...

The Transaction Associate must lead all aspects of due diligence and closing of prospective real estate acquisitions. The Transaction Associate will interact closely with the Acquisitions and ...

Fund Accountant

Phillipsedison

Cincinnati, OH โ€ข On-site

Full-time

Posted 21 days ago


Job description

Position Summary

Responsible for assisting the Manager of Fund Accounting, the Fund Accountant is responding to the funds' reporting needs and information requests. Assist in preparing and reviewing period-end fund financial statements, property financial statements, reconciliations, and journal entries for the funds. Responsible for providing accounting insight related to the operations of the whole funds' portfolios. Assist in day-to-day accounting operations, and with special projects as needed.

Essential Duties and Responsibilities:

  • Help prepare and review monthly fund financial statements to ensure that results are accurately and timely reported to our joint venture partners.
  • Review monthly property financial statements to ensure that results are accurately and timely reported to our internal asset management team.
  • Respond to external partner inquiries related to monthly financial statements, providing clear, accurate, and timely explanations of reported results.
  • Assist in performing month-end and quarter-end accounting and close duties for the fund's management company and properties. This includes, but is not limited to, recording journal entries related to the following key areas: accruals, allocations, distributions, equity, fees, real estate assets.
  • Appropriately prepare, record, and document reconciliations to ensure compliance with Sarbanes Oxley 404 requirements.
  • Develop and maintainjob processes and procedures.
  • Respond to various quarterly and year-end audit requests.
  • Compile financial statements and ad hoc reports for use in reporting to both internal and external parties.
  • Prepare quarterly debt covenant and other compliance-related calculations.

Education / Experience Requirements:

  • Bachelor's Degree in Accounting required with a minimum of 2+ years of experience.
  • CPA or requirements met for certification preferred.
  • Excellent computer and analytical skills including a proficiency in Excel.
  • Excellent communication and organization skills required.
  • Proficient in Microsoft Office (Word, Power Point, especially Excel).
  • Experience with MRI and Wdesk is preferred.
  • Meticulous attention to details and accuracy.
  • Ability to work in a team environment and to perform well in a fast-paced environment.

Equal Opportunity Employer/Protected Veterans/Individuals with Disabilities


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