Facilitate / monitor legal entity, bank account, deal set-up in relevant systems
Process all capital activities including investor contributions, capital calls, and distributions in accordance with company policies and investor agreements
Receive and post receipts related to capital calls, contributions, and distributions in the Investment Accounting module within Yardi
Record manual journal entries where applicable to property level assets
Maintain partners’ capital accounts and assist in processing investor transfers as needed
Track all investor capital calls and distributions to ensure timely notification and record-keeping
Prepare capital call and distribution notices for investors, ensuring all communications are clear and compliant with agreements
Monitor daily cash balances and identify incoming payments related to capital calls; record receipts upon arrival
Reconciling the Capital Account Statement with Monthly Notices
Reconciliation of transactions and flagging the breaks
Prepare fund performance analysis for management reporting