Tony Kim ****.***@*****.***
Suwanee, GA ***** 201-***-****
www.linkedin.com/in/tony-kim-a1084131
WORK EXPERIENCE
Connolly Realty Services, Inc. Current
Vice President – Accounting & Finance Atlanta, GA
Perform all aspects of month end close and prepare internal/external reporting (GAAP & Cash).
Prepare quarterly investor management reports and loan covenant report packages.
Coordinate year-end tax return preparation with outside accountants.
Spearhead management-related activities including leasing, capital improvements and tenant relations.
Implement and provide system training and troubleshoot issues.
Implement treasury management strategies to maximize yield.
Manage company brokerage investment account.
Transition outside managed owned properties and onboard PM properties to in-house accounting.
Develop and distribute accounting process memos.
Perform leasing administration.
Provide day-to-day direction of company policy, procedures and operations including the oversight of human resources, insurance, IT, property management, office administration. Arbor Realty Trust 10/2021-6/2023
Asset Manager Atlanta, GA
Coordinate borrower/sponsor kick-off calls to discuss loan terms, deferred maintenance, reporting requirements.
Prepare and discuss quarterly investor reports, valuations and risk ratings with senior management.
Assess collateral performance relative to underwriting and business plan. Perform compliance test for loan covenants (DY, DSCR, LTV). Monitor watchlist assets and report to senior management as needed.
Conduct market research to determine factors impacting property level performance.
Overseen borrower implementation of business plan(s) associated with a variety of real estate-related assets, including mezzanine and bridge loans, REO properties and preferred equity positions.
Work closely with senior management in analyzing strategies for workouts, foreclosures, acquisitions and dispositions.
Liasson between borrower and senior management on loan modifications requests in compliance with legal docs.
Interact with 3rd party consultants, attorneys, title agents and construction consultants as needed.
Visit collateral and assess progress of borrower business plan. Trimont Real Estate Advisors 2/2019 – 10/2021
Asset Manager - Director Atlanta, GA
Review and approve monthly or quarterly client asset reports for commercial, multi-family, lodging, retail, storage facility and mixed-use assets. Update valuation models as needed.
Assess performance of assets relative to original underwriting or business plans. Perform compliance test for loan covenants (DY, DSCR, LTV). Monitor watchlist assets and report to clients as needed.
Review cash management structure and process monthly payment waterfalls. Review payoff quotes.
Interact with 3rd party consultants including attorneys, title agents and construction consultants as needed.
Form lender consent cases on major decisions (lease approvals, amendments) for CLO conforming and non- conforming loans. Collaborate with Special Servicer and Controlling Holder on CLO deals.
Review and approve construction and/or lease up draw funding request packages.
Participate in scheduled client status update calls. G-Holdings Inc. – a Family Trust 1/2017 – 1/2019
Senior Controller New York, NY
Analyze cash flows and prepare due diligence analysis on purchase transactions.
Prepare and review annual budgets.
Prepare and review monthly/quarterly management reports.
Review general ledger, intercompany balances and bank reconciliations.
Research and implement new technology to streamline accounting processes, i.e. AvidXchange.
Prepare loan/escrow draws on special projects as needed.
Ensure general contractor partial lien waiver is accurate and complete.
Work with outside tax accounting firms to complete year-end reviews.
Coordinate temporary hiring needs.
Tishman Speyer Properties – a Real Estate Developer 6/2005 – 1/2017 Senior Controller New York, NY
Prepare monthly, quarterly, and year-end financials and workpapers in GAAP, FV and tax basis in consolidation or entity stand alone.
Complete year-end, interim and partner audits.
Prepare partner and lender reporting packages on a monthly/quarterly basis.
Prepare owner and partner capital calls.
Reconcile intercompany transactions between project/property to corporate/fund entities.
Provide various analyses to asset management, acquisitions and development teams.
Report budget variance for operating and development properties.
Prepare loan draw package for developments projects and operating entities.
Oversee budget transfers. Analyze remaining contingencies. Evaluate project cost risks.
Set up budgets using various web-based programs for operating buildings.
Review commitments, contracts and agreements to ensure anticipated costs are in line with budgets.
Calculate tenant CPI escalations and provide P&L budget analysis for various tenants.
Participate in meetings with project managers and owners to discuss status of projects, budget and goals.
Conduct trainings to bring management and staff up to speed with latest company technology and policies.
Notable projects/properties: Two Alliance, 555 Mission, NOMA, Rainbow Room, LIC Residential development. EDUCATION
Baruch College – Zicklin School of Business (CUNY) Bachelor of Business Administration, Finance and Investments, May 2003