
Location: New York City or New Jersey (4 days/week onsite)
Duration: 6-month contract with potential for extension
Hours: estimated 40 hours/week
Overview
Our client is seeking a Senior Real Estate Fund Accounting Consultant to support private real estate fund accounting operations within an asset management environment. This role is hands-on and execution-focused, requiring solid experience across real estate fund accounting and the ability to work effectively with internal teams and third-party administrators. Key Responsibilities
Perform hands-on fund accounting for private real estate funds Support period-end close activities, including NAVs, capital activity, and reporting Coordinate with and support deliverables from third-party fund administrators Review fund financials and reports for accuracy and completeness Partner with internal stakeholders to ensure timely and accurate outputs Operate effectively in a fast-paced, professional services environment Required Qualifications
5+ years of private fund accounting experience Real estate fund accounting experience preferred Background at a GP, asset manager, or fund administrator Working knowledge of capital calls, distributions, allocations, and NAVs Comfortable collaborating with third-party administrators Able to work onsite 4 days/week in NYC or NJ Preferred Attributes
Experience across multiple real estate fund structures Exposure to private equity or hedge funds with transferable skills Strong attention to detail and accountability Eligibility Requirements
Legal authorization to work in the U.S. is required. No third parties. No C2C. As a contractor, including remote contractors, you may be required to complete a background check.
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Our client is seeking a Senior Real Estate Fund Accounting Consultant to support private real estate fund accounting operations within an asset management environment. This role is hands-on and execution-focused, requiring solid experience across real estate fund accounting and the ability to work effectively with internal teams and third-party administrators. Key Responsibilities
Perform hands-on fund accounting for private real estate funds Support period-end close activities, including NAVs, capital activity, and reporting Coordinate with and support deliverables from third-party fund administrators Review fund financials and reports for accuracy and completeness Partner with internal stakeholders to ensure timely and accurate outputs Operate effectively in a fast-paced, professional services environment Required Qualifications
5+ years of private fund accounting experience Real estate fund accounting experience preferred Background at a GP, asset manager, or fund administrator Working knowledge of capital calls, distributions, allocations, and NAVs Comfortable collaborating with third-party administrators Able to work onsite 4 days/week in NYC or NJ Preferred Attributes
Experience across multiple real estate fund structures Exposure to private equity or hedge funds with transferable skills Strong attention to detail and accountability Eligibility Requirements
Legal authorization to work in the U.S. is required. No third parties. No C2C. As a contractor, including remote contractors, you may be required to complete a background check.
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