Senior Accounting Manager

Lincoln Property CompanyDallas, TX
17hOnsite

About The Position

We are seeking a highly skilled accounting and finance professional to oversee joint venture (JV) financial operations for a large-scale real estate investment platform. This role will manage JV-level budgeting, forecasting, cash management, capital accounts, debt compliance, investor reporting, and acquisition/disposition accounting. The ideal candidate will have deep expertise in real estate accounting including investments, strong technical GAAP knowledge, and experience managing complex JV structures. A CPA designation is highly preferred.

Requirements

  • Bachelor’s degree in Accounting or Finance; CPA highly preferred.
  • 7+ years of progressive accounting experience, with at least 3 years in real estate or private equity JV structures.
  • Strong technical knowledge of GAAP and JV accounting principles.
  • Experience with budgeting, forecasting, and financial modeling.
  • Proficiency in Yardi, MRI, Kardin, or similar real estate systems.
  • Excellent analytical, organizational, and communication skills.
  • Ability to manage multiple priorities in a fast-paced environment.

Nice To Haves

  • Familiarity with REIT compliance and regulatory requirements.
  • Experience with debt covenant monitoring and lender reporting.
  • Advanced Excel and financial modeling capabilities.
  • Exposure to investor reporting and performance metrics (IRR, MOIC, equity multiples).
  • Strong understanding of JV agreements and promote structures.

Responsibilities

  • Budgeting, Planning & Forecasting (JV-Level)
  • Prepare Annual Business Plan, Operating Budget, and Capital Budget for investor review and approval.
  • Consolidate property-level budgets into JV-level budgets and perform variance analysis and reforecasting.
  • Cash Management, Treasury & Capital Calls
  • Prepare capital call calculations and issue notices per JV agreement.
  • Manage JV, HoldCo, and SPE bank accounts, cash flow forecasting, and liquidity planning.
  • Participate in distribution waterfall calculations and promote mechanics.
  • Property-Level Oversight
  • Review property-level accounting prepared by third-party managers for GAAP and investor compliance.
  • Coordinate on cash forecasting, budget adherence, TI/LC accounting, and reimbursement processes.
  • Capital Accounts & JV Economics
  • Maintain capital accounts per GAAP, tax rules, and JV agreement.
  • Track investment tranches, capital balances, preferred returns, and promote tiers.
  • Debt Compliance & Lender Reporting
  • Participate in covenant testing, lender reporting, and draw requests.
  • Monitor escrow accounts and ensure compliance with financing agreements.
  • Investor Reporting & Performance Metrics
  • Prepare quarterly investor reporting packages, including financial statements, variance analysis, capital account statements, and JV performance metrics (IRR, MOIC, equity multiples).
  • Acquisition & Disposition Accounting
  • Support financial integration of new acquisitions, including opening balance sheets and bank setups.
  • Manage final accounting at disposition, including sale allocations, reserve releases, and promote crystallization.
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