Summer 2027 Investment Accounting Intern-Norfolk, VA

Harbor Group ManagementNorfolk, VA
Onsite

About The Position

Harbor Group International (HGI) is a leading global real estate investment and management firm with over $20 billion in assets under management. The firm invests in and manages diversified property portfolios including office, retail, and multifamily properties. With over 40 years of experience and over 1,400 employees worldwide, HGI is seeking a driven individual for a Summer 2027 internship to gain experience in real estate investment accounting and finance functions. The intern will receive personalized training, perform key job responsibilities, and execute meaningful projects within the business discipline under the direction of department managers.

Requirements

  • Currently enrolled in an accredited 4-year degree program and entering junior or senior standing at the start of the internship.
  • Minimum Cumulative GPA of 3.5.
  • 10-week commitment from June through August.
  • Willing to travel for both the Kick-Off and Capstone events.
  • One year of customer service work experience.
  • Computer proficiency and excellent communication skills.
  • Professionalism in quality of work, punctuality, attendance, and attitude.
  • Dependability, good judgment, and organizational skills.
  • Initiative to stay engaged while gaining industry knowledge.
  • Ability to lead and maintain good working relationships with peers.
  • Ability to be a positive example and take accountability.
  • Adherence to Company’s mission, vision, values, and policies.
  • Professional dress and conduct conducive to corporate environment.

Responsibilities

  • Complete bank reconciliations for partnership and asset level books.
  • Assist with the tax withholding reconciliation project.
  • Complete gain calculations as needed for sales of real estate assets.
  • Set-up new partnership entities and distribution schedules in the accounting system.
  • Track and post fund and investor commitments and contributions.
  • Post journal entries to partnership and asset general ledgers.
  • Review bank reconciliations and ensure that reconciling items are cleared up on a timely basis.
  • Calculate monthly asset management fees.
  • Assist in calculating and producing monthly billing statements.
  • Complete month-end workpapers for alternative assets.
  • Assist the manager of Partnership Accounting with reconciling partnership equity and investment balances.
  • Assist team with tracking CPA firm delivery of K-1s and other tax forms.
  • Review, research, and respond to tax notices for property and partnership entities.
  • Assist with research related to property acquisitions and dispositions.
  • Assist with running ad hoc reports from various internal software as needed.
  • Update existing work papers for CPA firm deliverables.
  • Assist with special projects as needed.
  • Contribute to special projects and end of internship presentation, including a final presentation to senior leadership.
  • Perform other duties as required.
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