Vice President of Finance and Accounting
ArtHaus PropertiesAbout the role
About ArtHaus Management
The expanded ArtHaus Management operating company is a wholly owned subsidiary of Arthaus Partners, purpose-built to manage and scale our vertically integrated residential platform. This role offers a rare opportunity to help shape the future of operations at a company on the verge of doubling its footprint, bringing structure, innovation, and excellence to a portfolio with significant near-term growth ahead. It’s an exciting moment to lead, build, and leave your mark.
About the Role
We are seeking a seasoned and strategic Vice President of Finance and Accounting to lead all financial functions of a growing, vertically integrated real estate investment and operating company. This executive will oversee accounting, financial reporting, treasury, tax compliance, insurance, lender relationships, and internal controls, while serving as a core member of the executive team. The ideal candidate combines strong technical and operational finance acumen with executive presence, the ability to build and lead teams, and a proven track record of scaling systems and driving performance in high-growth, asset-intensive environments.
This is a succession-track position with a clear pathway to Chief Financial Officer (CFO) based on demonstrated impact, leadership, and strategic contribution.
Key Responsibilities
Leadership & Organizational Finance
- Lead and mentor the Accounting teams to create a high-performance, accountable, and solutions-oriented function
- Collaborate with other departments (Property & Asset Management, Investment, Development, Investor Relations) to align financial operations with company-wide goals
- Act as a strategic thought partner to the leadership, contributing to capital planning, risk mitigation, and enterprise-level decision making
- Serve as a senior financial liaison to lenders, investors, legal counsel, and external audit/tax advisors
Accounting & Reporting
- Oversee all accounting operations across properties, operating companies, holding companies, and development entities
- Ensure timely and accurate delivery of GAAP-compliant monthly, quarterly, and annual financial statements
- Maintain strong internal controls and audit readiness, including supervision of all audit-related deliverables
- Lead financial system upgrades and ERP improvements (e.g., Yardi, QuickBooks, Excel models)
Treasury, Lender Relations & Capital Oversight
- Manage liquidity across all entities; produce cash flow forecasts and maintain adequate working capital
- Supervise A/R, A/P, and capital call/distribution workflows across all business lines
- Administer all existing lender relationships, including compliance reporting, loan draws, debt service, and covenant monitoring. Support on developing new banking relationships.
- Support capital planning, fund structuring, and balance sheet optimization initiatives
Insurance
- Support on all aspects of corporate and property-level insurance program management
- Support on renewals, policy placement, broker relationships, risk assessments, and claims tracking
- Ensure coverage aligns with lender requirements, development milestones, and operational risk exposure
Tax, Compliance & Payroll
- Oversee tax planning and compliance in coordination with third-party CPA firms
- Ensure full compliance with federal, state, and local regulatory filings
- Oversee payroll operations and ensure multi-entity payroll execution is timely and accurate
- Ensure Opportunity Zone compliance and track project eligibility with legal/tax counsel
Strategic Finance & FP
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