Senior Accountant
Listed on 2026-09-25
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Accounting
Financial Reporting, Financial Compliance, Financial Analyst, Accounting & Finance -
Finance & Banking
Financial Reporting, Financial Compliance, Financial Analyst, Accounting & Finance
Location: Remote
Job Type: Full-time
Industry: Financial Services / Mortgage Lending
Founded in 2014 and headquartered in Emeryville, California, Newfi Lending is backed by Apollo Global Management and has grown into one of the nation’s leading Non-QM lenders. Newfi is recognized for innovation, operational excellence, and delivering flexible lending solutions designed to meet the evolving needs of borrowers and mortgage professionals.
We are building a high-performing, forward-thinking organization focused on redefining modern mortgage lending through technology, strategic partnerships, strong financial controls, and product innovation.
Position SummaryNewfi Lending is seeking an experienced Senior Accountant to support the company’s mortgage accounting, investor reporting, servicing activity, warehouse reconciliations, general ledger responsibilities, and month-end close.
This role serves as a key accounting liaison between investors, servicers, warehouse partners, and internal Finance leadership. The ideal candidate will bring strong mortgage accounting knowledge, attention to detail, and the ability to research and resolve complex reconciliation differences while supporting accurate and timely financial reporting.
Key Responsibilities- Reconcile monthly P&I and escrow remittance reports and verify amounts due between Newfi and investors.
- Prepare investor remittance reporting, coordinate wire requests, and record applicable loan-level journal entries.
- Research investor remittance discrepancies and follow up on outstanding reimbursements.
- Review servicing invoices and escrow disbursements, identify discrepancies, and record related receivables.
- Serve as a primary Accounting point of contact between investors, servicers, and Newfi.
- Post investor payments, invoices, repurchase activity, and related cash entries in Loan Vision.
- Manage accounting for Early Payment Payoff (EPP) loans, including reclassifications, accruals, holdbacks, and tracking.
- Support FHA/VA mortgage insurance premium payments, buydown funding, and related journal entries.
- Participate in warehouse meetings and support funding and cash-related accounting activity.
- Perform bank, warehouse, investor LHFS, and investor warehouse reconciliations.
- Prepare EPP and escrow accruals.
- Reconcile loan funding activity between loan systems, warehouse facilities, and general ledger accounts.
- Reconcile assigned accounts including Accounts Receivable, Accounts Payable, Investor Payables, and purchase clearing.
- Research and resolve reconciling items and support timely month-end close.
- Create and maintain accounting procedures for investor remittance, EPP, and related processes.
- Maintain accurate supporting documentation for reconciliations, journal entries, and accruals.
- Identify process improvements that strengthen controls, improve accuracy, and support efficient close timelines.
- Partner with the Controller and cross-functional teams on accounting initiatives and special projects.
Qualifications:
- 5+ years of progressive accounting or finance experience, preferably within mortgage banking, servicing, wholesale, correspondent lending, or financial services.
- Bachelor’s degree in Accounting, Finance, Business Administration, or related field preferred.
- Strong understanding of general ledger accounting, journal entries, accruals, cash activity, and balance-sheet reconciliations.
- Experience with mortgage-specific accounting, including investor reporting, servicing, warehouse activity, loan funding, or loan-level accounting.
- Strong analytical, organizational, and problem-solving skills.
- Advanced Excel skills and experience working with financial and…
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