Financial Controller

2 days ago

🔄 Hybrid – Los Angeles

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Logo of Hackman Capital Partners, LLC

Hackman Capital Partners, LLC

Hackman Capital Partners is a privately-held real estate investment and operating company, based in Los Angeles, CA.

Real Estate Acquisition • Real Estate Development • Asset Management • Development • Design & Construction

51 - 200

Description

• The Financial Controller will work closely with all members of the accounting department. • This individual will have ownership of the accounting, administration, and reporting of multiple properties and capital level entities. • This includes maintaining general accounting practices, internal controls, financial analyses, treasury management/administration and reporting. • They will mentor and provide hands-on training to members of accounting, as well as enhance and streamline processes. • The Financial Controller will also assist with key processes for the accounting department as a whole, including treasury and investor administration. • Assist the SVP of Property and Fund Accounting in providing leadership, direction and management of the Accounting Department. • Manage and mentor department managers. • Review and understand deal documents, including partnership agreements, joint venture operating agreements and loan agreements. • Responsible for monthly, quarterly and annual financial reporting for a group of assets and capital entities. • This includes reporting to internal management, lenders and investors on an accurate and timely basis. • Perform an analytical review of monthly operating results and accounting workbooks, including budget-to-actual variance analysis of property revenues and expenses. • Review property, joint-venture and capital level cash flow sources & uses. • Work with department managers and the Asset Management team in reforecast of cash flow for future months. • Maintain technical accounting compliance, including consultation with external auditors and tax advisors on complex accounting and tax issues as necessary. • Coordinate the preparation of the annual budget with Accounting and Asset Management, monitor operating results and ensure that forecasts are up-to-date. • Responsible for the coordination and management of year-end audit requirements and overall process. • Assist internal tax team and outside tax firms with the K-1 and tax return process. • Take a lead role in managing the Company’s treasury activities, including bank account setup and maintenance, bank treasury relationship management, cash reporting and forecasting, short-term investing, wire payments, and fraud prevention controls. • Assist with investor data management and reporting. • Participate in a wide variety of special projects and reporting initiatives.

Requirements

• Undergraduate degree in accounting, finance or similar discipline • Certified Public Accountant (CPA) preferred; not required • 7-10 plus years of progressive accounting experience with a minimum of 4 years in property or investment accounting under a Controllership role • Supervisory experience with demonstrated ability to manage projects and several staff • Well-versed in PC based financial application systems and databases with advanced knowledge of Excel • Solid understanding of financial modeling and concepts, including yields, debt service coverage ratio, cap rates, IRRs, cash-on-cash return, etc. • Ability to work independently in a fast-paced, high growth environment • Strong problem-solving and analytical skills • Able to multi-task, prioritize, and manage deadlines

Benefits

• Complimentary on-site valet Parking • Lunch ordered on-site 3x week • Well stocked pantry with "healthy" snacks • Regular social events/team building • 100% employer paid benefits for employee • Generous coverage for dependents • Generous 401k • Dog Friendly workplace • Generous Holidays/Time Off • Hybrid

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