Cimgroup

Controller, Family Office

Full-time · Los Angeles, CA
✓ Verified live on the employer's own system · added 16 days ago
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Senior · 7+ yrs exp

Requirements

Education: Bachelor's degree or related field

Experience: 7+ years

License: CPA

Skills & tools

ManagementTeam LeadershipOperationsAccountingFinancial ReportingInvestment ManagementCPA
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Full job description

Responsibilities
Accounting and Financial Reporting  

Maintain the books and records for multiple entities, partnerships, trusts, and ownership structures.

Serve as primary administrator for NetSuite and drive process improvements

Oversee monthly, quarterly, and annual close processes.  

Prepare and review financial statements, general ledger activity, reconciliations, and supporting schedules.

Ensure timely and accurate financial reporting across all assigned entities.

Maintain annual trial balances and supporting documentation.  

Coordinate annual audits and other financial reporting requirements.  
Treasury, Liquidity and Capital Management  

Monitor cash positions and liquidity requirements across multiple entities.

Coordinate capital contributions, distributions, and intercompany transactions.

Review and process capital call requests and funding requirements.

Assess anticipated cash requirements related to tax payments, investments, and distributions.

Facilitate wire transfers and related cash management activities.  

Maintain ownership schedules, capital account records, partnership allocations, governing documents, and organizational records across all entities and investment structures.

Tax Coordination and Compliance  

Coordinate with external CPAs and tax advisors regarding entity, partnership, trust, and individual tax matters.

Review annual 1040 and other tax filings prepared by external providers.

Coordinate quarterly estimated tax payments.  
Real Estate and Asset Management Support  

Oversee financial administration related to privately held real estate assets.

Coordinate property tax payments, insurance matters, and related financial obligations.

Partner with internal and external teams to ensure proper accounting and reporting of asset activity.

Manage annual K-1 collection, tracking, review, and distribution to ownership and other stakeholders.

Monitor recurring regulatory and administrative obligations across all entities.

All other duties as assigned.

Requirements

Bachelor's degree in Accounting , Finance, or related field.  

Minimum 7 years of accounting, finance, family office, private company, or investment management experience.

CPA designation  strongly  preferred.  

Public accounting experience preferred.  

Experience with NetSuite as an end-user  required .   

Experience with partnerships, trusts, private investment structures, and multi-entity accounting.

Experience supporting high-net-worth individuals, family offices, private businesses, or investment organizations preferred.

Real estate, private equity, or alternative investment experience preferred.

ABOUT THE COMPANY: Orchard Capital is a private investment and single family office platform dedicated to building and preserving long-term value through strategic investments, active ownership, and disciplined financial stewardship. The firm oversees a diverse portfolio of private companies, real estate investments, partnerships, trusts, and affiliated investment structures.

With an entrepreneurial mindset and a long-term investment horizon, Orchard Capital partners closely with ownership, executive leadership, and trusted advisors to manage capital, pursue growth opportunities, and support the financial and operational success of its investments. Our culture emphasizes integrity, accountability, collaboration, and a commitment to excellence in everything we do.

POSITION PURPOSE: The Controller, Family Office is responsible for the financial management, accounting, treasury coordination, tax support, and operational administration of a portfolio of private entities, partnerships, trusts, family office structures, and affiliated investment holdings. This role oversees day-to-day accounting activities, liquidity management, capital transactions, tax coordination, financial reporting, and special projects while serving as a key liaison to internal stakeholders and external advisors.

The Controller ensures accurate financial records, timely reporting, and effective administration of complex ownership and investment structures.

COMPENSATION &

BENEFITS: We provide compensation and benefits to support our employees. Eligible employees receive a compensation package and have access to a range of benefits designed to support their needs both at work and outside of it. #LI-BL1

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This posting was published by Cimgroup on their own careers system and is shown here with a direct link to apply there. Employers: for corrections or removal, contact jobs@veritahire.com.