- Location
- Bengaluru, India
- Workplace
- Hybrid
- Type
- Full-time
- Department
- Finance
- Seniority
- Entry
- Source
- Workday
Description
Company: Revantage Global Services India Private Limited
Position Title: Senior Associate
Business Unit: Portfolio Accounting & Financial Reporting
Department: Finance
Reports To: AVP
Who We Are
Revantage is a global corporate services leader, delivering exceptional experiences to Blackstone portfolio companies and investments that enable them to thrive. As a global firm, Revantage provides a suite of service offerings with our best-in-class talent, processes, and technologies to support thousands of assets and billions in Total Enterprise Value (TEV) across asset classes, including industrial, residential, office, and retail.
With presence across US, UK, Luxembourg, Netherlands, Singapore, India and Australia, Revantage supports Blackstone real estate portfolio companies and its partners across 50 countries.
What We Value: Our Culture
Creating a culture that inspires change and momentum requires the right team. We know what it takes to lead an industry, and are looking for leaders who seek constant growth, want to excel, and continuously improve upon themselves and the industry. The culture at Revantage is built on our shared core values and commitment to be:
- Leaders – We commit to continuously improve our performance
- Learners – We learn from our challenges and successes
- Enthusiasts – We face challenges with optimism and believe anything is possible
- Achievers – We expect high standards for ourselves and enable the success of our teams
- Partners – We deliver value and positive impact to our partners
India
Revantage's India operations, including a Center of Excellence in Gurugram, have been managed through partnerships with service providers like Wipro. Revantage has set up its global capability center in Bengaluru (GCC).
ROLE SUMMARY
The Senior Associate – Portfolio Accounting & Financial role will be to support the Revantage APAC Finance team in meeting the finance compliance obligations of Blackstone Portfolio companies in Australia and New Zealand.
Primary Role
Deliverables include but is not limited to;
- Books and records are soundly maintained with monthly financials reflecting movements including but not limited to debt, intercompany transfers, capital injections, distributions, accruals, and adjustments for accounting standards and tax, while determining appropriate accounting and tax treatment
- Preparing calculation of management fees, leasing fees and capex fees
- Assisting in processing expenses and intercompany cash transfers
- Preparing monthly entity level packs including balance sheet reconciliations for all balance sheet line items, understand and resolve aged balances and unreconciled items
- Preparing and comprehending portfolio and consolidated sector property results (balance sheet and profit & loss) by reviewing and analyzing movements on a monthly and YTD basis
- Preparing quarterly NAV, SCA reporting, monthly MMR and other BX reporting as required
- Assisting in monthly property expense, capex and incentives forecast reviews
- Preparing statutory and managerial reporting for Blackstone investments
- Participating in onboarding and offboarding of entities, including final wash ups
- Support the treasury team with forecasting for cash flows
- Support tax function as required and assist with the preparation of periodical BAS, IAS reports
- Collaborating across teams for meeting internal and external client needs
- Identify efficiencies through refined operating procedures, business improvement and utilisation of new systems and executing improvement
- Participating in improvement projects
KEY WORKING RELATIONSHIPS
Internal:
- Revantage APAC Finance teams
- Revantage Tax and Treasury teams
- Revantage CoSec & legal teams
- Revantage Technology team
External:
- Blackstone
- Property managing agents and service providers (eg JLL, CBRE)
- JV Partners
- 151 Property
- Other Blackstone Portfolio Companies (Fort Knox & Student One)
- Auditors and Tax advisors
What You Bring To The Role
Required:
- 5 years + experience in a relevant industry
- Chartered Accountant or equivalent
- Bachelor’s degree in Accounting/Finance or equivalent
- Knowledge of Private Equity/Real Estate experience desirable
- Strong financial reporting and accounting knowledge
- Good written and verbal communication skills
- Knowledge of Private Equity/Real Estate, Fund Administration experience desirable
- Advanced Excel skills and ability to manage large excel spreadsheets and datasets is preferred
- Ability to maintain a high energy, positive, creative, solutions driven, client orientated, dynamic and responsive culture
- High level of behavioral awareness in self and others
- Time management & organisational skills
- Proactive, solution-oriented, and continuous improvement mindset
EEO Statement
The Company is an equal opportunity employer. In accordance with applicable law, we prohibit discrimination against any applicant, employee, or other covered person based on any legally recognized basis, including, but not limited to: veteran status, uniformed servicemember status, race, color, caste, immigration status, religion, religious creed (including religious dress and grooming practices), sex, gender, gender expression, gender identity, marital status, sexual orientation, pregnancy (including childbirth, lactation or related medical conditions), age, national origin or ancestry, citizenship, physical or mental disability, genetic information (including testing and characteristics), protected leave status, domestic violence victim status, or any other consideration protected by federal, state or local law. We are committed to providing reasonable accommodations, if you need an accommodation to complete the application process, please email [email protected]