FinacPlus·Fintech·12 hours ago
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Sr. Analyst – Debt Accounting - BER
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What you'll do
- Maintain detailed loan investment files that reconcile monthly principal payments and current outstanding loan principal balances
- Recalculate debt securitization liability (CLO) and expense investment class allocations and ensure agreement to third party reconciliations and statements
- Recalculate warehouse interest expense and principal payments and ensure agreement to third party statements
- Calculate and record monthly amortization of discounts received/given on acquisitions/sale of investment cash flows
- Calculate and record monthly amortization of deferred mortgage costs, including securitization costs
- Maintain shareholder loan calculations and reconciliations between the Limited Partnership and the REIT for each Fund
- Perform monthly compliance reporting for each CLO
- Calculate quarterly allocations of income, expense, gains, losses and promote to each Funds investor
- Preparation of investor capital calls, distributions, and quarterly capital account statements
- Code and enter invoices to Berkshire’s accounts payable system for approval and payment
- Perform quarterly REIT qualification testing for each Fund
- Extract pertinent loan terms and details from loan agreements, as loans close, and create ETL upload files to get information into Berkshire’s debt software
What they're looking for
- A range of 3-5 years of experience in US Accounting and Bank Reconciliations
- Understanding of accounting cycles, account classifications, debts and credits.
- Understanding account reconciliation differences and how to go about resolving them
- Must be proficient in the use of the Microsoft Office suite of products, including, Word, Excel and Outlook.
Nice to have
- Experience in Yardi and US Real Estate investment/debt accounting systems is preferred.
- Advanced Excel Skills like Pivot Tables, lookups, macros, etc would be advantageous.
Summarised by NextRaise from the employer’s description, which follows in full below.
Full description from employer
At FinacPlus, we are more than a service provider — we are a Virtual Business Process Partner to leading global financial institutions, fintech companies, and data-driven enterprises. Our teams integrate seamlessly with client organizations, delivering high-impact finance, accounting, risk, operations, and technology capabilities from India.
FinacPlus is a Great Place to Work® Certified™ organization, recognized for our employee-first philosophy, collaborative culture, strong leadership values, and commitment to professional growth.
This position is to be part of the team which provides accounting support to a Real Estate Investment Firm from the US Mortgage industry. This role will oversee certain cash, investment and REIT calculations and reconciliations as well as accounting, reconciliation and administrative responsibilities across the client’s Debt Funds and Investments.
RESPONSIBILITIES
- Maintain detailed loan investment files that reconcile monthly principal payments and current outstanding loan principal balances
- Recalculate debt securitization liability (CLO) and expense investment class allocations and ensure agreement to third party reconciliations and statements
- Recalculate warehouse interest expense and principal payments and ensure agreement to third party statements
- Calculate and record monthly amortization of discounts received/given on acquisitions/sale of investment cash flows
- Calculate and record monthly amortization of deferred mortgage costs, including securitization costs
- Maintain shareholder loan calculations and reconciliations between the Limited Partnership and the REIT for each Fund
- Perform monthly compliance reporting for each CLO
- Calculate quarterly allocations of income, expense, gains, losses and promote to each Funds investor
- Preparation of investor capital calls, distributions, and quarterly capital account statements
- Code and enter invoices to Berkshire’s accounts payable system for approval and payment
- Perform quarterly REIT qualification testing for each Fund
- Extract pertinent loan terms and details from loan agreements, as loans close, and create ETL upload files to get information into Berkshire’s debt software
- Preparation of opening acquisition and sale/repayment entries
- Preparation of Yardi set up forms for new entities
- Ad hoc investment, Fund, or investor tasks and requests.
- Prepare and post investment-level accounting entries in Yardi related to loan and investment activities.
QUALIFICATIONS AND EXPERIENCE
- A range of 3-5 years of experience in US Accounting and Bank Reconciliations
- Experience in Yardi and US Real Estate investment/debt accounting systems is preferred.
- Understanding of accounting cycles, account classifications, debts and credits.
- Understanding account reconciliation differences and how to go about resolving them
- Must be proficient in the use of the Microsoft Office suite of products, including, Word, Excel and Outlook.
- Advanced Excel Skills like Pivot Tables, lookups, macros, etc would be advantageous.
QUALITIES
• Strong commitment to support overseas client with utmost care • Excellent communication skills to interact with customers and business partners of the client • Good team player with greater level of integrity, Maintains Strict confidentiality of Client’s Data and information • Self-Motivated and Tough task master • Quick and continuous learner of new technologies • Ability to collaborate in a close-knit team environment, working together on projects and meeting common deadlines •
LOCATION: Hi-Tech City, Hyderabad / CP67 Mall, Mohali
Work Mode: Hybrid – Monday to Wednesday Mandatory Office / Thurday & Friday WFH
TIMINGS: Afternoon Shift: IST 2-00 pm to 11-00 pm
Fintech
Company
FinacPlusFintech
Hyderabad, India
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