Blue Owl

Financial Reporting - Real Assets Accounting, Vice President

Blue Owl$150K — $175K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 7+ years of real estate accounting experience, preferably with REITs or private equity.
  • Strong technical skills in Historical Cost and Fair Value accounting for real estate.
  • Experience with SEC reporting including Forms 10-K, 10-Q, and 8-K.
  • Understanding of leases, debt agreements, and private placement memorandums.
  • Organized, deadline-focused, and strong problem-solving skills.
  • Proficient in Excel and other accounting software.
  • Bachelor's degree in a related field; CPA preferred.

Responsibilities

  • Oversee financial data reporting for month-end, quarter-end, and year-end.
  • Prepare NAV and share price reports per PPM documents.
  • Act as subject matter expert for financial reporting and technical GAAP queries.
  • Assess accounting impacts of transactions like acquisitions and leases.
  • Monitor third-party compliance with budgets and deadlines.
  • Communicate financial insights regularly with CFO and CAO.
  • Coordinate preparation of financial statements for SEC filings.
  • Interfacing with investment and asset management teams regarding property operations.

Benefits

  • Health, Dental, and Vision insurance.
  • 401(k) plan.
  • Flexible Spending Accounts for healthcare and dependent care.
  • Short and Long Term Disability insurance.
  • Family Planning Support.
  • Paid Time Off and Leave of Absences.
Full Job Description
Blue Owl is looking for a strategic accounting professional for one of their non-traded Real Estate Investment Trust (REIT). This is an exciting opportunity to join a company experiencing tremendous growth. The qualified Vice President will be open to new ideas and processes and help the Company institutionalize existing practices while working with the support of a highly collaborative team.

Responsibilities
  • Financial Reporting
    • Oversee and accurately report financial data, month-end, quarter-end, and year-end accounting, valuation, and financial reporting in accordance with deadlines
    • Prepare monthly net asset value and price per share in accordance with PPM documents
    • Serve as the subject matter expert for financial reporting questions, including technical GAAP historical cost and fair value reporting accounting treatment
    • Demonstrate strong understanding of real estate investment structures, mortgage documents, development agreements, partnership agreements, and purchase and sale agreements
    • Determine the accounting and financial statement impacts due to significant transactions such as acquisitions, leases, and segment reporting to ensure accurate financial presentation
    • Oversee third parties, monitoring their compliance with responsibilities, budgets, and deadlines
    • Communicate effectively with CFO and CAO, providing regular and ad hoc communications, reporting, and analysis
    • Coordinate and prepare financial statements and disclosures on Forms 10-Q, 10-K and 8-K with the SEC on a historical cost basis
    • Coordinate with investment and asset management teams regarding property acquisitions/dispositions and ongoing property operations
  • Audit
    • Manage audit deadlines
    • Answer various questions from the audit and tax teams
    • Coordinate the timely conclusion of audit reports
  • Fund Administration
    • Manage relationship with fund administrator and property managers
    • Review the following prepared by the fund administrator:
      • Incentive fee allocations and calculations
      • Management fee allocations and calculations
      • Acquisition entries ad hoc
      • Monthly NAV closes
  • Ad Hoc Reporting
    • Work with investments team on ad hoc reports for current portfolio and acquisitions
  • Implement effective internal controls, recommend to management the implementation of policies, procedures, processes, and controls based on continual analysis of current accounting processes.


Qualifications
  • 7+ years of real estate accounting experience. Candidates with exposure with real estate private equity, non-traded REITs or public REITs, with backgrounds as Big 4 auditors and/or relevant industry experience will be considered.
  • Strong technical accounting skills with an emphasis on Historical Cost and Fair Value basis of accounting for real estate
  • SEC reporting experience including Form 10-K, 10-Q, 8-K and other transactional offerings.
  • Ability to understand leases, debt agreements, and private placement memorandums
  • Must be deadline focused, organized, and exhibit problem-solving skills, able to handle multiple weekly, monthly and quarterly deadlines at the same time
  • Ability to efficiently utilize excel spreadsheets and other accounting software.
  • Bachelor's degree in related field.
  • CPA preferred, not required.


It is expected that the base annual salary range for this Chicago based position will be $150,000 - $175,000. Actual salaries may vary based on factors, such as skill, experience, and qualification for the role. Employees may be eligible for a discretionary bonus, based on factors such as individual and team performance.

Benefits for this role include Health, Dental and Vision insurance, 401(k), Healthcare and Dependent Care Flexible Spending Account, Short Term Disability insurance, Long Term Disability Insurance, Family Planning Support, Paid Time Off, and Leave of Absences. All such benefits are subject to the terms/conditions of the Company's benefits plans and policies.

About Blue Owl

Blue Owl is an insurance company that uses data and technology to provide personalized insurance products to its customers. The company offers auto, home, and renters insurance, and uses artificial intelligence to determine the best coverage options for each customer. Blue Owl was founded in 2020 and is headquartered in San Francisco, California.
Learn more about Blue Owl
Size
1,000 employees
Industry
Founded
2020
5 Year Trend
+50%
Revenue
$50 million
NASDAQ

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