Property Accountant
Current• Preparing monthly financial reporting packages and ensuring internal and external reporting deadlines are met• Preparing and posting journal entries and accruals for assigned properties• Reconciling balance sheet accounts and bank statements• Performing in-depth reviews of general ledger and income statements, tracking lender reporting and preparing replacement reserve draw requests• Working closely with the Corporate team, Regional Operations Teams, and Property Managers• Supporting the Accounts Payable department and assist and coordinate audit information and requests• Continual evaluation and improvement of accounting and reporting process automation