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The Fund Accounting team at Fisher Investments supports our clients in multiple ways including: providing operational accounting support through preparation of fund budgets, expense processing oversight, preparation of financial statements, assisting in global tax compliance, working on a variety of projects including investor requests - and more.
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Finalizes management and owner reports for the investor reporting function. Aimbridge Hospitality is based in Plano, TX, with additional corporate offices in Atlanta, Calgary, Fargo, Puerto Rico, San Clemente, and Washington D.C. Aimbridge EMEA has offices in Birmingham and Glasgow, UK, and Amsterdam, the Netherlands; Aimbridge LatAm has offices in Monterrey, Mexico.
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3+ years of booking loan modifications, handling investor reporting updates, and system adjustment updates required. Responsible for modification booking and closings, utilizes investor system (WPII, HSSN, FHAC) to enter, close, and validate case submissions, ensuring timely receipt of investor funds and accurate system changes.
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Collaborate with Financial Planning & Analysis, SEC Reporting, SVP Investor Relations, CFO & CEO, and various other key players as needed, to develop and communicate key messaging regarding financials and strategy.
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Work with Yardi and the USAA Real Estate Investor Reporting team on configuring and standing-up InvestorPlus. Develop and support NCREIF reporting out of Yardi. Work with Yardi and the USAA Real Estate Investor Reporting team on configuring and standing-up InvestorPlus.
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Finalize management and owner reports for the investor reporting function. Finalize management and owner reports for the investor reporting function. Requires extensive knowledge of all areas of hotel accounting and finance.
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The associate actuary will be responsible for financial reporting and valuation of traditional life products with a strong emphasis on driving key capital initiatives and providing proactive leadership.
$130,000 - $155,000 a yearFull-timeExpandApply NowActive JobUpdated 1 month ago - UpvoteDownvoteShare Job
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Reporting to the Fund Accounting Manager, you will become a liaison for other departments and progress to an expert. The Opportunity:The Fund Accounting team at Fisher Investments supports our clients in multiple ways including: providing operational accounting support through preparation of fund budgets, expense processing oversight, preparation of financial statements, assisting in global tax compliance, working on a variety of projects including investor requests — and more.
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At USAA Real Estate our employees enjoy generous benefits packages including comprehensive medical, dental and vision plans, 401k, USAA Membership eligibility, educational and professional designation assistance, business casual dress attire and much more.
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The Senior Manager, Investor Relations, will support Cinemark's investor relations program and objectives, which include understanding the Company's financials and strategies in order to adequately prepare executive management for earnings and investor meetings, as well as develop key messaging and materials for the external investor and analyst community.
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Upon launch, our fund administration and fund management platform streamline fundoperations, including seamless fundraising capabilities, world-class investor experience, and expert accounting and investor reporting services.
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As a Vice President in the Corporate Sector group, you will support the Corporate Central Analytics & Reporting Team across a broad range of key Corporate P&A priorities including, P&L and Balance Sheet forecasting and budgeting, the quarterly earnings process, and relationship management of critical Corporate P&A stakeholders (e.g. Firmwide P&A, Investor Relations, Controllership, etc.
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You will be part of a centralized team that partners with the functional teams and supports their CFOs in the 30+ corporate functions that span the Firm. Besides coordinating across Corporate Sector teams, you will interact with Firmwide & Line of Business groups performing Finance & Business Management functions including Reporting and Data management, Regulatory Management, Investor Relations, Stress Testing and finance related functions.
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