Senior Fund Accountant - Atlanta, GA
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Requirements
- Bachelor's degree in Accounting or Finance required; CPA or MBA a plus
- 1-3 years' experience with financial management
- Real estate experience a plus
- Strong organizational, analytical, communication, problem-solving, and time-management skills
- Extraordinary attention to detail while performing multiple assignments under tight deadlines
- Proficiency in Excel and other Microsoft Office programs
- About Cortland
- Join us as we reimagine apartment living and drive outsized returns through purpose, performance, and people.
- Cortland is a drug-free workplace.
- Cortland participates in e-verify to verify the employment status of all persons hired to work in the United States.
- California Applicant Privacy Notice
- California residents may request access to or deletion of their personal information by contacting us at careers@cortland.com
- GDPR Statement
- When you apply to a job on this site, the personal data contained in your application will be collected by Cortland ("Controller"), which is located at 3424 Peachtree RD NE Suite 300 Atlanta, GA and can be contacted by emailing ca
Benefits
Additional Information
At Cortland, we operate with a forward-thinking approach that challenges conventional norms and actively seeks insights beyond traditional industry boundaries. As a recognized leader in the multifamily sector, our focus on performance, innovation, and disciplined execution continues to drive strong growth and market leadership. We are committed to building a best-in-class organization by empowering top talent with the resources, autonomy, and support needed to deliver results and advance their careers in a high-performance environment. Role Overview As a Senior Fund Accountant, you support the overall reporting, analysis, and operations of a fund of Cortland assets. Here are the roles you'll play: The Reports Guru Assist with capital call and distribution calculations in accordance with the applicable partnership agreements Calculate and report quarterly investor level reporting - like NAV statements Assist with quarterly and year-end close activities for your fund and its underlying investments, including the preparation of income statements, balance sheets, and cash account reconciliations Collaborate with the Investments team to prepare and review client deliverables, drawdown/distribution notices, NAV statements, and quarterly reports Help coordinate annual fund-level audits that include accounting processes like bank reconciliations, cash management, general ledger entries, and financial statement preparation and review Prepare quarterly unaudited and annual audited financial statements Perform monthly bank reconciliations and other treasury functions Complete quarterly equity reconciliations The Analyzer Apply your knowledge of partnerships, fund structures, waterfalls, preferred return/promote/carried interest, acquisition fees, and capital transactions Forecast fund and portfolio level liquidity for senior management Effectively communicate with senior management regarding financial statements, investor reporting, and cash management Help develop, document, and communicate accounting policy and procedures; identify and implement process improvements as applicable Review fee calculations per the provisions of the respective agreements The Impact You Can Make Investors have a crystal-clear picture of how their assets are performing thanks to your contributions. The Fund Controller you work with looks forward to receiving your inputs because they are always insightful and spot on. You make everyone's lives easier by providing them with highly accurate and timely reports, keeping the whole team on the same page.
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