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Financial Controller

Job in Austin, Travis County, Texas, 78716, USA
Listing for: Macdonald & Company
Full Time position
Listed on 2026-03-06
Job specializations:
  • Finance & Banking
    Financial Manager, Corporate Finance
  • Management
    Financial Manager
Salary/Wage Range or Industry Benchmark: 80000 - 100000 USD Yearly USD 80000.00 100000.00 YEAR
Job Description & How to Apply Below

Macdonald & Co. is exclusively partnered with Missio Capital to appoint a Financial Controller in Austin, TX.

Missio Capital – On Purpose. On Mission. At Missio Capital, we combine our local expertise with institutional infrastructure to deliver best-in-class returns for our partners. Our purpose is to serve others, from renters to capital partners, through strategic investments and best-in-class developments. It is our mission to build lasting value for our partners and communities we serve.

Missio Capital is a real estate investment and development firm formed through a joint venture between Crowe Capital and Rausch Companies, with an initial capital commitment of $100mm. Built with decades of experience in real estate development, Misso delivers thoughtful, high performing multifamily and income-producing assets.

THE OPPORTUNITY:

This position will lead accounting and financial reporting activities for Corporate and real estate portfolios of the newly funded company. The position reports to the company’s Managing Partner and will act as a trusted advisor to the executive team on areas of finance, accounting and tax. The Financial Controller will play a key role in establishing business processes, selecting/implementing systems, and have a pivotal role in future growth/expansion pursuits.

This person will bridge the gap between accounting and finance and integrate functions across the organization, with the goal of providing accurate and timely information for the leadership team and investors. The position will have direct oversight of property and corporate accounting, property tax and treasury, internal controls/risk management, and cash forecasting functions

RESPONSIBILITIES:
Accounting/External Reporting
  • Lead and oversee internal and external accounting and reporting functions.
  • Interface with potential investors when performing operational due diligence, and existing investors.
  • Oversight of joint venture accounting and reporting and sign off prior to financial statements being issued.
  • Oversee monthly and quarterly partnership reporting, including Consolidated Balance Sheet, Statement of Operations and Statement of Partner’s Capital and all associated notes.
  • Formulate tax strategies including quarterly tax review with outside CPA firm related to income allocation/tax distributions.
  • Share responsibility for the review, compliance, and execution of all tax filings and any other required regulatory reports.
  • Enhance and/or develop, implement and maintain standards, policies and procedures to ensure accurate, timely and complete preparation of all required financial information including quarterly financial statements, year-end statements produced in accordance with GAAP, K-1 reports, cost-segregation studies, etc.
  • Monitor, review and assess the impact of relevant Financial Accounting Standards Board (“FASB”), Securities and Exchange Commission (“SEC”) and other regulatory guidance to ensure compliance.
  • Perform and review research of technical accounting issues, prepare memos, and determine proper accounting treatment.
  • Collect relevant information from tax consultants and formulating recommendations to senior leadership that impact decisions surrounding platform structuring.
Treasury, Cash Forecasting and Budgeting
  • Collaborate with the Managing Partner and wider team on business-related issues, such as acquisitions, dispositions, joint ventures and capital calls. Must understand and anticipate capital-related issues in a transactional environment.
  • Oversee and support the budgeting process to ensure timely and accurate analysis of budgets, financial reports and financial trends.
  • Take ownership of corporate cash flow projections and oversee input into critical budget and forecasting assumptions across the various investment entities and partnerships.
  • Leverage cash flow forecasts/budgets to identify financing needs, managing lender relationships, and assist in the capital formation of projects.
Internal Controls/Risk Management/Process Improvement
  • Provide monthly executive management reports that reflect the operational and financial status of the Company.
  • Drive process improvement and develop and maintain an…
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