
Director of Asset Management & Controller
DWG Capital Partners, Dallas, Texas, United States, 75215
DWG Capital Partners & DWG Capital Group — Controller & Asset Financial Lead
Venice / Mar Vista, Los Angeles, CA, US — Full-Time, Office-Based (reasonable flexibility) DWG Capital Partners & DWG Capital Group are expanding. We’re seeking an experienced Controller & Asset Financial Lead (CPA preferred) to own multi-entity accounting, cash operations, investor funding, and property financial oversight across our investment, brokerage, fund, and family-office activities. This is a blended finance + asset role: you’ll manage firm accounting and controls — cash dashboards, monthly close, reconciliations, fee schedules, vendor controls, and investor funding intake — while also owning property-level financial operations including asset P&Ls, capex planning, site financial reviews, mortgage and rent verification, CAM/OP reconciliations, lease abstracts, third-party compliance, and disposition readiness. Key responsibilities
Maintain consolidated cash dashboards, prepare monthly cash flow reports and rolling forecasts, and support the monthly close (reconciliations, journal entries, accruals). Verify outgoing payments, manage fee schedules, and maintain vendor documentation and controls. Support investor funding intake, capital event logs, and distribution documentation. Prepare asset P&Ls, variance analysis, rent-roll validation, and monthly investor-ready asset memos. Manage CapEx budgeting, vendor procurement oversight, invoice review, and project tracking. Verify mortgage and rent payments, confirm taxes & insurance, and monitor tenant receivables and security deposits. Assemble diligence and disposition packages; maintain As-Is and stabilized financials for refinancing or sale. Build standard templates and identify process/automation improvements to accelerate close timeliness and reduce manual reconciliation. Qualifications
CPA preferred, or CPA-track with controller experience. 1-3+ years combined accounting and real-estate finance or asset management experience preferred. Advanced Excel and multi-entity/fund reporting experience. Practical experience with CapEx programs, CAM reconciliation, lease economics, and vendor management. Strong communicator able to translate site findings into investor-ready reporting; high discretion with sensitive financial data. Primarily Westside Los Angeles–based; reasonable scheduling flexibility considered.
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Venice / Mar Vista, Los Angeles, CA, US — Full-Time, Office-Based (reasonable flexibility) DWG Capital Partners & DWG Capital Group are expanding. We’re seeking an experienced Controller & Asset Financial Lead (CPA preferred) to own multi-entity accounting, cash operations, investor funding, and property financial oversight across our investment, brokerage, fund, and family-office activities. This is a blended finance + asset role: you’ll manage firm accounting and controls — cash dashboards, monthly close, reconciliations, fee schedules, vendor controls, and investor funding intake — while also owning property-level financial operations including asset P&Ls, capex planning, site financial reviews, mortgage and rent verification, CAM/OP reconciliations, lease abstracts, third-party compliance, and disposition readiness. Key responsibilities
Maintain consolidated cash dashboards, prepare monthly cash flow reports and rolling forecasts, and support the monthly close (reconciliations, journal entries, accruals). Verify outgoing payments, manage fee schedules, and maintain vendor documentation and controls. Support investor funding intake, capital event logs, and distribution documentation. Prepare asset P&Ls, variance analysis, rent-roll validation, and monthly investor-ready asset memos. Manage CapEx budgeting, vendor procurement oversight, invoice review, and project tracking. Verify mortgage and rent payments, confirm taxes & insurance, and monitor tenant receivables and security deposits. Assemble diligence and disposition packages; maintain As-Is and stabilized financials for refinancing or sale. Build standard templates and identify process/automation improvements to accelerate close timeliness and reduce manual reconciliation. Qualifications
CPA preferred, or CPA-track with controller experience. 1-3+ years combined accounting and real-estate finance or asset management experience preferred. Advanced Excel and multi-entity/fund reporting experience. Practical experience with CapEx programs, CAM reconciliation, lease economics, and vendor management. Strong communicator able to translate site findings into investor-ready reporting; high discretion with sensitive financial data. Primarily Westside Los Angeles–based; reasonable scheduling flexibility considered.
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