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Vice President Senior Management

Location:
Atlanta, GA
Posted:
May 09, 2025

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Resume:

Tony Kim ****.***@*****.***

Suwanee, GA ***** 201-***-****

www.linkedin.com/in/tony-kim-a1084131

Work Experience:

Connolly Realty Services / Spruce Street Partners 06/2023 – 01/2025

Vice President of Accounting Atlanta, GA

Prepare accurate and timely monthly and quarterly financial statements in compliance with GAAP.

Review bank reconciliations, monthly rent-ups, and journal entries to ensure accuracy and completeness.

Oversee the preparation and processing of quarterly partnership distributions.

Manage banking relationships and investment/treasury operations.

Coordinate with tax accountants for all State, Local, and Federal filings, review tax returns, annual 1099s.

Review monthly management fee calculations.

Prepare CAM reconciliation per lease. Assist in annual budget preparation.

Maintain Corporate Transparency Act BOIR filings.

Supervise, mentor, and develop the accounting staff, fostering continuous improvement and professional growth.

Maintain ERP systems.

Research and implement new systems such as Yardi Voyager, MRI, Commercial Cafe and AvidXchange. Conduct end-user training and troubleshoot technical issues.

Automate accounts payable and accounts receivable. Implement AvidXchange and Commercial Café.

Create standard operating procedures.

Arbor Realty Trust – a multi-family loan originator 11/2021 – 5/2023

Asset Manager Atlanta, GA

Led borrower kick-off calls to outline loan terms, deferred maintenance requirements, and reporting obligations, ensuring alignment on key financial and operational expectations.

Prepare comprehensive quarterly investor reports, including valuations, risk ratings, and performance insights, for presentation to senior management.

Monitor asset performance against underwriting benchmarks and business plans; conducted compliance tests for loan covenants (DY, DSCR, LTV), and escalated watchlist assets to senior management when necessary.

Perform in-depth market analyses to identify factors influencing collateral performance and provided actionable insights to drive strategic decisions.

Report loan strategies for workouts, foreclosures, acquisitions and dispositions to senior management.

Liaison between borrowers and senior management to evaluate loan modification requests, ensuring compliance with loan documentation and regulatory requirements.

Interact with 3rd party consultants, attorneys, title agents and construction consultants as needed.

Conduct on-site collateral assessments to evaluate borrower business plan progress and provide detailed feedback to stakeholders.

Trimont Real Estate Advisors – a loan servicer 2/2019 – 04/2021

Asset Manager 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.

Analyze discounted cash flow and net asset valuation models.

Engage 3rd party consultants as needed, including title agents, attorneys and construction consultants.

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 transactions.

Review/approve construction and lease-up draw funding requests.

Participate in scheduled client status update calls.

Conduct on-site collateral assessments to evaluate borrower business plan progress and provide detailed feedback to stakeholders.

G-Holdings Inc. – a multi-family and hotel developer & operator 1/2017 – 1/2019

Senior Controller New York, NY

Manage the accounting team of six (staff accountants, AP, AR, lease administration).

Analyzed cash flows and prepare due diligence analysis on purchase transactions.

Prepare and review annual budgets.

Prepare and review monthly/quarterly management reports.

Perform general ledger review, intercompany transactions and review bank reconciliations.

Research and implement new technology to streamline accounting processes, i.e. AvidXchange.

Prepare loan/escrow draws on special projects as needed. Attend development pencil meetings and site walks.

Ensure general contractor partial lien waivers are accurate and complete.

Work with outside tax accounting firms to complete year-end review.

Conduct annual staff review.

Coordinate hiring needs.

Tishman Speyer Properties – a commercial and multi-family developer & operator 6/2005 – 1/2017

Project Accountant to 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.

Collaborate with audit firms to complete year-end, interim, and partner audits, ensuring timely and accurate reporting.

Produced detailed monthly and quarterly reporting packages for partners and lenders, ensuring clarity and compliance with requirements.

Prepared owner and partner capital calls, ensuring alignment with project and operational funding needs.

Reconcile intercompany transactions across project, property, corporate, and fund entities to ensure accurate financial records.

Provide in-depth financial analyses to asset management, acquisitions, and development teams, supporting strategic decision-making.

Report budget variances for operating and development properties and ensure alignment to financial goals.

Prepare loan draw packages for development projects. Ensure accuracy of G702 & G703 documents.

Oversee budget transfers, analyze contingencies, and evaluate project cost risks ensuring financial stability.

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/owners to discuss project status, budget variance and goals.

Prepare TC-201 filings.

Conducted staff training sessions and update management on technologies and policies.

Notable projects/properties include Two Alliance Center, 555 Mission Street, Rainbow Room, Long Island City redevelopment.

Education and Certification:

Baruch College – Zicklin School of Business (CUNY)

BBA, Finance & Investments

Institute of Management Accountants

Seeking Certified Management Accountant (CMA) accreditation

Software Experience:

Argus, AvidXchange, Concur, CoStar, FAS, Microsoft AX Dynamics, MRI, PM Web Construction Management, Prolog Project Management, Real Capital Analytics, Real Insight Asset Management, Sage Fixed Assets (FAS), Sage Timberline, Yardi



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