Property Accountant

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Ref. #000R6V

Support a retail portfolio
Cash Book Accounting and Bookkeeping
Enter new leases and terms, ensure property tenant billing
Monitor cash balances and reconcile bank accounts
Prepare journal entries and analyze general ledger
Calculate and pay monthly management fees
Perform month-end close
Prepare monthly financial statements
Annual CAM reconciliation, and pay taxes and insurance
Prepare annual operating budgets

Requirements

2+ years of commercial property accounting
Experience working on a retail portfolio is a plus
Intermediate or better Excel
Retail software such as Yardi Voyager or MRI
Strong written and verbal skills

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