Real Estate Asset Management – Controller

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THRIVING Real Estate Asset Management Firm that is QUICKLY GROWING and actively hiring!

Company Information:

Financial services and asset management platform for residential property investors in the United States.

The firm connects fragmented loan markets with institutional capital through a branchless network of third-party originators, brokers, and in-house sales teams to originate loans to property investors who buy, rehab, resell, and/or rent properties.  The firm originates and services multiple business-purpose loan products (“BPLs”), via various sales channels which, together with ancillary service offerings, provide an end-to-end experience that drives repeat customer transactions and profitability.  The firm’s loan products include residential transitional bridge loans including single and multi-family properties and Rental Loans including single property rentals and rental portfolios.

Job Description:
  • Manage day-to-day accounting operations, including accounts payable, accounts receivable, post-closing processes, balance sheet reconciliations, and financial reporting.
  • Ensure the accurate and timely month-end, quarter-end, and year-end closing
  • Optimize cash flows and prepare cash flow
  • Manage employee expenses and allocation of
  • Participate in the preparation of budgets and financial
  • Generate and present financial reports and prepare ad-hoc reporting and
  • Act as point of contact for and provide support to internal
  • Lead the Finance Team to complete external audits of the consolidated company.
  • Create, revise, and extend accounting procedures and processes, as needed.
  • Manage various company compliance and tax filings.

Requirements / Qualifications:
  • This is a NYC-based position (in-person)
  • CPA Certification
  • BS/BA degree or higher
  • 6-8 years of experience with a top-tier CPA firm
  • 4+ years of private company, start-up, and/or investor-backed company experience – preferably in a financial sector – preferred
  • Specific knowledge of the financial industry and SEC filings (10-Q/10-K reports) is preferable.
  • Professional knowledge of ERP systems and applications
  • Knowledge of Business Central (Microsoft Dynamics) or similar software is
  • Superior Excel skills
  • Demonstrated ability and desire to lead a team of finance and accounting
  • A proactive thinker with the ability to look “beyond the books” and keep a company’s executive team apprised of best practices from systems, process, and tax planning perspectives.
  • Excellent written and verbal communication skills
  • Strong organizational and execution skills
  • Highly motivated with a strong work ethic and desire to work in a fast-paced and fluid environment.
  • Team-oriented and highly collaborative personality

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