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Controller - Accounting & Finance

SROA PROPERTY MANAGEMENT, LLCUnited States🇺🇸United StatesPosted Oct 6, 2026

Quick Overview

Seniority
Mid Senior
Work mode
Hybrid
Location
United States
Posted
12 hours ago
CPAFinancial ReportingGeneral LedgerRegulatory Reporting

Job Description

Job Description
Become the newest member of our exciting team at SROA Capital as we redefine self-storage! SROA Capital is a vertically integrated private equity real estate investment firm that has evolved into a global asset manager with a successful track record of providing risk adjusted returns to its partners through its focused strategy of investing in self-storage.

SROA is headquartered in West Palm Beach, FL and has invested, redeveloped, and developed self storage across the risk spectrum in major and secondary markets across the United States under the brand Storage Rentals of America and the UK under the brand Kangaroo Self Storage with approximately 900 employees globally. The Fund Accounting Controller will be Responsible for booking all activity for assigned funds. Review and provide input to all Fund-related regulatory filings, participate in efforts to respond to regulatory requests and inquiries related to the Funds.

Review all applicable legal documents for understanding of all arrangements that impact the financial reporting for the investments and the funds. Manage accounting responsibilities with respect to the models maintained for the funds and their investments.

Lead tactical and strategic projects, including the launch of new funds, adoption of new regulations, implementation of new systems and services, continuous improvements. participate in monthly close activities including but not limited to review of financial data, investigating significant variances and transactions, fluctuation analysis, preparation of financial reporting deliverables, preparation of estimate accruals, entry processing, perform reconciliations and general ledger substantiation. Review and approve all individual investor statements.

Recommend, develop and document new procedures and systems to improve operating and accounting efficiency of the department. Review and sign off Funds' financial statements and regulatory filings. Prepare financial information for regulatory reporting, including Form PF and Form ADV. fund documents, trading/operational model, distributions, expense structure) to identify solutions to launch/modify the product. Assisting the firm's director with the interim / year end audit and tax process for the firms funds. Report to Head Accounting.

Work with Excel Models
Bachelor’s degree in Accounting, Finance, or a related field required.
8+ years of fund accounting experience. Investment partnership and fund accounting experience required. CPA is a plus. Strong understanding of Generally Accepted Accounting Principles. Strong analytical and accounting skills. Advanced excel skills required.

Competitive pay with bonus potential
100% paid medical coverage options for employee-only
Dental and vision plans for optimal care
Eight (8) paid holidays
401(k) with substantial employer match and 100% immediate vesting
Flexible Spending Accounts (FSA), Health Savings Accounts (HSA), and Dependent Care Flexible Spending Accounts (DCFSA) for tax-advantaged savings
GAP Insurance for added financial protection
Employer-paid Life Insurance and Short-Term Disability coverage
Long-Term Disability (LTD) coverage for added peace of mind
Storage Discounts to help you declutter and organize
Learning and development opportunities to maximize your potential and excel in your career

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