Client Finance & Accounting - Closing Analyst
Company: Stockbridge
Location: Atlanta
Posted on: April 1, 2026
|
|
|
Job Description:
Closing Analyst, Client Finance & Accounting Atlanta, GA
Opportunity and Position Summary: The Closing Analyst will join the
Closing Group within the Client Finance & Accounting department and
play a critical role in the execution and control of the firm’s
acquisition and disposition activity. Stockbridge’s acquisitions
are led by Acquisitions and dispositions by the Capital Markets and
Asset Management teams, each of which requires rigorous financial,
operational, and compliance controls. The Closing Group is
responsible for ensuring these controls are adhered to, for
managing the closing statement for each transaction with title, for
communicating the status of the firm acquisition and disposition
activity to the firm and to assist with the transition of an asset
from the acquisition phase to the asset management phase. Due to
the transaction-driven nature of the role, the Closing Analyst will
also support cross-functional initiatives and special projects
across Client Finance & Accounting, and Compliance. This position
offers direct exposure to the full transaction lifecycle and
provides meaningful interaction with investment, finance and
accounting, legal, and operational teams across the firm. This role
is well suited for a highly analytical, detail-oriented
professional seeking hands-on experience in real estate transaction
execution within a dynamic institutional investment platform. With
the experience of this role, it also can position the Analyst for
broader opportunities within the firm over time. Primary Duties and
Responsibilities: Coordinates with Acquisitions, Capital Markets
and Client Finance & Accounting to determine the closing schedule
and capital requirements to close an acquisition, ensuring that
capital is funded at the appropriate time. Manages the end-to-end
closing workflow and timeline, tracking deposits, equity funding
requirements, entity formation, and third-party deliverables to
ensure timely and controlled execution. Drives cross-functional
coordination for transaction structuring and closing timelines,
proactively identifying risks, resolving open items, and ensuring
alignment across legal, tax, finance, and investment teams. Leads
the financial review and reconciliation of the closing statements
with title, legal counsel, and internal and external transaction
stakeholders, validating prorations, disbursements and equity cash
flow. Analyzes purchase and sale agreements with the transaction
team to interpret and guide proration mechanics and support
negotiation strategy. Manages buyers, sellers, venture partners,
and third-party property managers to agree prorations in accordance
with the purchase and sale agreement. Drafts a Prorations
Memorandum for all acquisitions and dispositions. Prepares a
Closing Binder for all acquisitions and dispositions evidencing
adherence to key policies and procedures for every transaction.
Translates executed transaction terms into system-ready financial
data, ensuring accurate onboarding of assets into Yardi. Required
attendance at weekly Investment Pipeline meetings to maintain
comprehensive visibility into firm-wide transaction activity.
Documents meeting minutes to formalize Investment Committee and
Allocation decisions. Works with Compliance on a quarterly basis to
ensure all policies were adhered to and documented for each
transaction. Drafts weekly email summarizing the log of pending
transactions for the firm and legal counsel. Communicates and
provides documentation to third parties to adhere to regulatory
reporting requirements. Skills and Competencies: All candidates
must have a BA or BS degree from an accredited institution, ideally
in Accounting, Business or related field. An ideal candidate would
have 2-4 years of professional experience. Computer proficiency
with a working knowledge of Microsoft Excel and Word.
Organizational skills and attention to detail, with the ability to
prioritize and manage multiple projects simultaneously. Ability to
function both in a team-oriented setting and work independently.
Ability to foster strong relationships internally and externally.
Strong verbal and written communication skills. Strong sense of
personal motivation, responsibility, and entrepreneurship. Strong
decision-making and problem-solving skills. The Firm: Stockbridge
is a real estate investment management firm led by seasoned senior
professionals averaging 25 years of real estate industry
experience. The firm was founded in 2003 and manages real estate
equity investments across the risk spectrum within a variety of
investment structures on behalf of U.S. and foreign institutional
investors. Stockbridge has approximately $37.4 billion of assets
under management spanning all major real estate property types, and
certain specialty property types with an emphasis on residential
and industrial space throughout the United States. The firm has
offices in San Francisco, Atlanta, Chicago, Denver, Dallas, and
Phoenix. Compensation: Competitive. Stockbridge’s base pay scale
depends on geographic location, business line, years of experience,
and other qualifications of the successful candidate. A
discretionary annual bonus is also included in addition to base
pay. Benefits include medical, dental, vision, life and STD & LTD
insurance. Stockbridge provides a 401K plan with a match as well as
generous vacation, sick time and holiday time off. Additionally,
Stockbridge provides opportunities for professional development and
career advancement. The base pay scale and benefits are accurate as
of the date of this posting. Stockbridge reserves the right to
modify this information at any time, subject to applicable law.
Keywords: Stockbridge, Chattanooga , Client Finance & Accounting - Closing Analyst, Accounting, Auditing , Atlanta, Tennessee