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Berkadia, as an equal opportunity employer, celebrates our employees’ unique differences, which we believe drives personal and company-wide innovation and creates a people-first culture where your career can take the long view. To achieve these goals, we are committed to the full inclusion of all qualified individuals, without regard to race, religion, age, color, national origin, gender, sexual orientation, gender identity or expression, marital status, domestic partner status, military and veteran status, disability, pregnancy, parental status, genetic information, political affiliation, or any other status protected by federal, state and local laws. In keeping with our commitment, Berkadia takes the necessary steps to provide a workplace free from harassment and discrimination, as well as access and reasonable accommodations for individuals with disabilities. If you require reasonable accommodation to take part in the interview process, please contact talentacquisition@berkadia.com. You have rights under Federal and State employment laws. No question in this Application is intended to elicit information in violation of any such law, nor will any information obtained in response to any question be used in violation of any such law. If you apply for this role, you are acknowledging Berkadia's Application Policy and Berkadia's Privacy Policy. Please click the following links for more information about: EEOC, Employee Rights under the FMLA, EPPA.
Fund Manager
Location
United States
Posted
108 days ago
Salary
0
No structured requirement data.
Job Description
Fund Manager
Berkadia
This description is a summary of our understanding of the job description. Click on 'Apply' button to find out more. Role Description The Fund Manager is responsible for the financial modeling, analytics and investor due diligence process in closing Proprietary Fund transactions, as well as the post-close management and reporting duties through stabilization of the underlying properties. The Fund Manager will also cross-train with senior staff and provide support for Multi-Investor Funds and Club Funds. - Manage Fund level projections and investor due diligence workflow through closing. - Perform quarterly updates to property level and Fund level projections based on actual events and annual tax returns, with specific attention to capital contribution adjusters, capital accounts and investor IRR. - Manage quarterly Fund financial statements and assist with the preparation and review of monthly Corporate financial statements, maintaining related workbooks and schedules. - Review Fund and Partnership operating agreements, record transactions, and monitor capital contributions received from investors and paid to Partnerships, ensuring all capital accounts are up to date. - Ensure compliance with Fund level operating agreements, analyze post-close waiver requests submitted by Asset Management and make recommendations to VP Fund Management. - Coordinate and manage Fund audits, tax returns, and investor K-1 preparations. - Manage quarterly reporting obligations, investor requests, and annual analyses of Fund reserves. - Assist AVP Portfolio Management in data collection and analytics for annual Syndicator Assessment reports. Qualifications - Experience in fund/partnership accounting and tax preparation, with LIHTC experience highly desirable; CPA designation preferred. - Strong quantitative and analytical skills, with proficiency in financial modeling and Microsoft Office applications. - High attention to detail and accuracy, with the ability to manage complex financial data effectively. - Excellent communication skills, both written and verbal, to convey information clearly and professionally. - Bachelor's degree or equivalent. - 5+ years of experience in a similar position. Benefits - Monthly paid volunteer hours and donation matching to benefit our communities. - Employee Resource Groups that help you grow with us. - Fertility and family planning services. - Up to 12-weeks of fully paid parental leave. - Mental health care, including free counseling sessions. - Generous tuition reimbursement. - Pet insurance discounts. - And more!
Job Requirements
- Experience in fund/partnership accounting and tax preparation, with LIHTC experience highly desirable; CPA designation preferred.
- Strong quantitative and analytical skills, with proficiency in financial modeling and Microsoft Office applications.
- High attention to detail and accuracy, with the ability to manage complex financial data effectively.
- Excellent communication skills, both written and verbal, to convey information clearly and professionally.
- Bachelor's degree or equivalent.
- 5+ years of experience in a similar position.
Benefits
- Monthly paid volunteer hours and donation matching to benefit our communities.
- Employee Resource Groups that help you grow with us.
- Fertility and family planning services.
- Up to 12-weeks of fully paid parental leave.
- Mental health care, including free counseling sessions.
- Generous tuition reimbursement.
- Pet insurance discounts.
- And more!
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