- Location
- Corporate Office (Newport Beach), United States of America
- Workplace
- Hybrid
- Type
- Full-time
- Department
- Finance
- Source
- Workday
Description
What’s Your Purpose?
What You Will Do
The Investor Equity Operations Accountant will be an integral part of the product sponsor, broker dealer, registered investment advisor operations, and compliance departments. To be successful in our equity operations group the fund accountant must enjoy working with numbers, collaborating with other departments, and possess the following attributes: meticulous, intermediate/advanced EXCEL skills, independent initiative-taker, excellent communication skills, and demonstrated leadership is a plus.
The operations accountant will be a critical collaborator in the equity operations initiatives of the firm. The role will generally be responsible for maintaining the firm’s proprietary database management and corresponding investor capital movement. This role will be based out of Newport Beach, California and report to the Private Equity Fund Account Manager.
What Your Day Consists Of
Ensuring accuracy of data related to our investors, partnerships, properties, and third-party custodian
Assisting with valuations, distributions, contributions, and investor elections
Facilitating money movement between third party escrow accounts and partnership accounts
Monitoring loans between CWS affiliated entities
Calculate Capital Calls and distributions
Allocating Income to Investors in Accordance with Entity Agreements
Reviewing and understanding investment/legal documents
Implementing best practices and striving to provide world class service to our clients while actively seeking ways to improve the workflow and processes
Lead communications at Senior Level with client personnel and investment professionals both internally and externally
Participate and lead projects within the department that improve efficiency, mitigate risk, and deliver exceptional service
Maintain a direct relationship with outside audit and tax partners
Assist with recruiting as needed
Always represent CWS in a professional manner internally and externally
Manage and monitor timely completion of client deliverables
Create, maintain, and or review capital calls, waterfall structures, and distributions
Ensure investor fees are properly calculated and allocated to investors within our proprietary database
Prepare and review all investor allocations and ensure compliance with fund documents
Read and understand fund offering documents (PPM, OA, Amendments, etc.)
Identify inefficiencies and implement changes and corrective measures as needed
Computation of management fees in various periods, carried interest, and preferred returns and regularly report to the partners of CWS
What You Bring To Us
Five years of experience with a private investment company
Knowledge of various ratios: IRR, time weighted returns, investment multiples, etc.
Degreed candidates and CPA preferred
Deep knowledge of private equity fund structure
Securities licenses and experience with an RIA are preferred
Experience in modeling equity waterfalls in EXCEL is preferred
Hybrid work schedule. Monday-Thursday in office, Friday remote.
What We Offer
At CWS, our employees are like family. We offer a comprehensive benefits package designed to support your health, financial well-being, career growth, and work-life balance. Benefits include a 50% apartment rental discount for onsite team members and a 20% rental discount for all other employees.
We offer multiple medical, dental, and vision plan options, company-paid life and disability insurance, paid parental leave, and a 401(k) with company match. Additional benefits include pet insurance, tuition reimbursement, flexible spending and health savings account options, and our Fitness Bucks program, which helps cover fitness-related activities, equipment, and wellness purchases.
You'll enjoy paid time off, company holidays, a floating holiday, and a birthday holiday—because we believe in taking care of our team both at work and at home.
CWS Capital Partners is a fully integrated real estate investment management company that specializes in the acquisition, development, reposition, and management of luxury apartment buildings. We seek investment opportunities with the primary objective of strong growth potential while maintaining preservation of capital. Once we find properties that fit our investment model, we negotiate the purchase price and subsequent sale as well as secure both the debt and equity capital for funding. Equity funding is provided by high-net-worth individuals and institutional investors through our captive broker dealer. As a registered investment adviser, CWS provides investment advice to private real estate funds. CWS Apartment Homes, our affiliated management company, manages all our assets which keeps our investors’ best interests at the forefront of our operations.
This job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee. The above statements are intended to describe the general nature and level of work being performed.