Your responsibilities
The Fund / SPV Accountant will be responsible for the accounting, financial reporting, and operational oversight of real estate investment funds and their underlying SPV structures. The role supports the accurate administration of fund entities, ensures regulatory and accounting compliance, and coordinates with service providers, auditors, and asset managers.
- Review, code and process incoming invoices for real estate funds and their underlying entities and special purpose vehicles (SPVs)
- Prepare and process payments in compliance with internal approval procedures and payment deadlines
- Process, digitize and systematically file incoming and outgoing mail, and maintain the related documentation
- Support day-to-day accounting activities, particularly the recording and maintenance of accounting transactions
- Support month-end, quarter-end and year-end closing activities by compiling supporting documents, reconciliations and analyses
- Provide assistance with the preparation of annual financial statements and respond to queries from auditors, tax advisers and other service providers
- Perform basic account and bank reconciliations and support the management of outstanding items
- Maintain master data, entity data, accounting information and other relevant data in the systems used
- Support the preparation of data and documents for reporting, tax filings and regulatory requirements