Position Overview
Description β’ Partner with the Property Manager / Project Manager to ensure accuracy of journal entries and general ledger across one or multiple projects.
β’ Oversee outsourced accounting team responsible for accounts payable, accounts receivable and bank reconciliations, including training, review of deliverables, and communication of feedback.
β’ Coordinate and prepare lease administration as follows: Set up new leases in accounting system, prepare tenant billings, set up tenant recovery profile/pool.
β’ Prepare operating and tax expense reconciliations (true-ups) as required per governing documents (leases, management agreement, etc.).
β’ Record journal entries to the general ledger and ensure records are kept in compliance with GAAP or other basis of accounting.
β’ Perform month-end close procedures including preparation and/or review of account reconciliations.
β’ Maintain job cost ledger for development projects and ensure costs are properly coded
β’ Assist in Prop...