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Real Estate Management

Location:
Forest Hills, NY, 11375
Posted:
April 05, 2010

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Resume:

Eyal Barzohar

***-** **** ** ( FOREST HILLS, NY 11375

****.********@*****.*** 718-***-**** ( cell 347-***-****

Education

NYU - POLY, New York, NY 2009 - 2011 (expected graduation)

MS in Financial Engineering

Baruch College, CUNY, New York, NY 2000-2003

Bachelor of Business Administration

Major: Computer Information Systems

NYU- school of continuing education, NY New York

Intro to portfolio management - Jan 2004

Real Estate investment analysis - Jan 2007

Career Experience

AIG, NEW YORK, NY 6/2008 - PRESENT

Accountant II

Working as a controller at Chartis insurance evaluating the exposures of

the salvage and subrogation recoverable account to AIGCI. Creating process

and controls to reconcile the account and recommend appropriate courses of

action to improve the current process.

> Work with the system group at Deloitte to develop automated system

solutions for the reconciliation of the salvage and subrogation

recoverable account.

> Analysis of monthly CRS data of the salvage and subrogation account,

and communicating with AI Recovery, Lexington Claims.

> Review and analyze all non machine entries that are posted to the

salvage and subrogation recoverable account.

> Perform monthly variance analysis for senior management.

> Analyze large volumes of detailed transactional claims data and

recommend improvements

> Ensure all accounting procedures are in compliance with Sarbanes-

Oxley.

> Provide accounting guidance and implement controls to ensure adherence

to the AIG Comptrollers Group standards

Morgan Stanley, New York, NY 8/2007-2/2008

Balance Sheet controller

Production of daily and weekly balance sheet - Equity divisions within the

Institutional Securities Group as well as consolidation of a global ISG

Balance Sheet report for senior management.

Prepared financial reports, performed variance analysis in accordance with

business plan.

> Liaising with CFOs in gathering and documenting explanations for

balance sheet movements across a variety of product areas.

> Coordinating Balance Sheet quarterly due diligence analysis and

providing management with any ad-hoc related analysis

> Working with Corporate Reporting on monthly analysis as well as

support for 10Q related Balance Sheet inquiries

> Responsibility for maintenance of a centralized and standardized

approach to ISG-wide cusip-netting at all reporting levels. This

includes close interaction and coordination with regional and

divisional counterparts as well as with various Legal Entity

Controllers.

> Active involvement with BS teammates as we work toward completion of

several strategic projects including FVM .

> Prepare value-added trending analysis to Business Units CFOs

> Renovation of Alias reporting, and Legal Entity Balance Sheet

reporting

Vision Group, New York, NY, 2/2004-8/2007

Real Estate Acquisition Associate

Manage the investment process, gather and interpret data to assist in

property acquisitions. Assist in the financial evaluation and negotiation

of acquisitions and conduct due diligence on properties to be acquired.

> Perform underwriting, analysis, due diligence, financing, transaction

documentation and other items of all potential real estate investment.

> Create ad hoc financial models using NPV, IRR, cash flow analysis as

well as sensitivity analysis. Develop joint-venture opportunities,

prepare monthly financial reports using excel charts and graphs,

prepare cash flow statements and related analyses for investors and

potential investors.

> Coordinate and conduct due diligence of transactions, including

coordinating and reviewing of property appraisals, environmental

reports, engineering reports, legal documents, leases, and assessment

of management quality due diligence.

> Liaison with external and internal attorneys, as well as internal

colleagues inside and outside of Real Estate Investment Group to

ensure smooth processing of investment transactions. Prepare

documentation for Real Estate Asset Management to ensure proper

transition of completed transactions

References available upon request



Contact this candidate