Orchard CapitalOrchard Capital
Orchard CapitalOrchard Capital
Orchard Capital is a private investment and single-family office platform focused on building and preserving long-term value through strategic investments, active ownership, and disciplined financial stewardship. The Controller, Family Office will oversee the financial management, accounting, treasury coordination, tax support, and operational administration of a portfolio of private entities, partnerships, trusts, family-office structures, and affiliated investment holdings. Responsibilities include maintaining the books and records for multiple entities; serving as the NetSuite administrator; overseeing monthly, quarterly, and annual close processes; preparing and reviewing financial statements, general ledger activity, reconciliations, and supporting schedules; ensuring timely and accurate financial reporting across all entities; coordinating annual audits; managing treasury, liquidity, and capital management; coordinating capital contributions, distributions, intercompany transactions, and capital calls; monitoring cash positions and anticipated tax payments; coordinating with external CPAs on entity, partnership, trust, and individual tax matters; managing asset-related financial administration for privately held real estate; overseeing K-1 collection, tracking, and distribution; and maintaining ownership schedules and governing documents. Education and experience: Bachelor's degree in Accounting or Finance; minimum seven years of accounting, finance, family office, private company, or investment management experience; CPA designation strongly preferred; NetSuite exper
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Orchard Capital is a private investment and single-family office platform focused on building and preserving long-term value through strategic investments, active ownership, and disciplined financial stewardship. The Controller, Family Office will oversee the financial management, accounting, treasury coordination, tax support, and operational administration of a portfolio of private entities, partnerships, trusts, family-office structures, and affiliated investment holdings. Responsibilities include maintaining the books and records for multiple entities; serving as the NetSuite administrator; overseeing monthly, quarterly, and annual close processes; preparing and reviewing financial statements, general ledger activity, reconciliations, and supporting schedules; ensuring timely and accurate financial reporting across all entities; coordinating annual audits; managing treasury, liquidity, and capital management; coordinating capital contributions, distributions, intercompany transactions, and capital calls; monitoring cash positions and anticipated tax payments; coordinating with external CPAs on entity, partnership, trust, and individual tax matters; managing asset-related financial administration for privately held real estate; overseeing K-1 collection, tracking, and distribution; and maintaining ownership schedules and governing documents. Education and experience: Bachelor's degree in Accounting or Finance; minimum seven years of accounting, finance, family office, private company, or investment management experience; CPA designation strongly preferred; NetSuite exper
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Based on: Controller
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© 2026 JobMatcher. All rights reserved.
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1 active role from this employer in the JobMatcher catalog.
1 active role from this employer in the JobMatcher catalog.