Controller, Finance & Banking, Financial Reporting
Listed on 2025-12-18
-
Finance & Banking
Financial Reporting, Accounting & Finance
Founded in Bellevue, Washington in 1987, American Capital Group stands proud as a leader in real estate development. With over three decades of dedicated service, our expertise shines in the realm of multifamily community development. To date, we have crafted over 100 multifamily properties across twelve states, managing 25+ of these properties in four Western states.
Our success stems from our comprehensive approach. We handle every aspect of real estate development in-house, encompassing Acquisitions, Development, Architectural Design and Engineering, Construction Management, Property Management, and Asset Management. This integrated strategy has solidified our position as an industry trailblazer.
For a deeper insight into our journey and achievements, we invite you to explore our website.
- Schedule – Monday – Friday 7am to 4pm - Flexibility to work additional hours may be required to meet company/project needs.
- On-Site Requirement: This position requires physical presence at our corporate office during office hours.
- Compensation Package–
- $160,000 to $180,000 / Year
- The above compensation is a range. Offers are made based upon a candidate’s experience and the geographical location of this position.
- Competitive starting wages (listed above).
- A company-wide commitment to diversity and inclusion.
- A positive work environment where employee’s contributions are valued.
- A fun culture with team building activities and events.
- Competitive medical, dental, and vision benefits. Employer pays 85% of employee’s premium.
- 401k contribution opportunity with an annual company match.
- Paid sick leave accrual equivalent to 1.33 hours for every 30 hours worked (~11 days per year).
- Paid vacation starting at three weeks and increasing with tenure.
- 14 paid holidays, including 2 personal holidays of your choice.
- Comprehensive training programs and development opportunities.
- Certified Public Accountant (CPA) required.
- 10+ years of progressive experience in accounting and finance, preferably within real estate development, investment management, or fund administration.
- Advanced understanding of GAAP, consolidation accounting, and fund-level financial reporting.
- Proven ability to analyze complex financial data and communicate insights effectively to senior leadership.
- Strong understanding of institutional investor and lender requirements, including audit, compliance, and financial covenant reporting.
- Proficiency in accounting software (Sage, Intacct, or Yardi) and Microsoft Office Suite; advanced Excel skills required.
- Experience with BI and data visualization tools (Power BI, Tableau, or similar) preferred.
- Excellent communication, leadership, and organizational skills.
- Strategic thinker with a hands-on approach and high attention to detail.
- Experience leading ERP implementations or system upgrades.
- Knowledge of real estate tax accounting, cost segregation, and partnership structures.
- Strong understanding of fund waterfalls, investor reporting, and promote structures.
- Proven success in improving accounting processes, efficiency, and data transparency.
- Demonstrated ability to work cross-functionally with multiple company departments.
- Lead corporate and fund accounting across multi-entity real estate structures.
- Ensure GAAP compliance and integrity of all financial data and statements.
- Own monthly/quarterly/annual close; drive timely, accurate consolidations and eliminations.
- Prepare consolidated financials for all entities and affiliated ventures.
- Analyze revenue, costs, overhead, and margins; deliver insights to improve profitability.
- Maintain chart of accounts architecture enabling entity and consolidated reporting.
- Partner with leadership on annual budgets, forecasts, and multi-year plans.
- Provide variance analysis and commentary versus budget/forecast.
- Monitor company and project-level cash flow and liquidity needs.
- Oversee fund accounting: capital calls, distributions, allocations, promote/waterfalls.
- Produce investor/lender reporting packages and handle financial inquiries.
- Coordinate external audits, reviews, and third-party administrator/lender requests.
- Manage treasury: banking relationships, cash…
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).