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The Partnered Property Acquisitions Group (The PPA Group) is a full service commercial real estate investment firm that seeks attractive, risk-adjusted returns for accredited investors. We specialize in the acquisition and development of commercial and multi-family residential properties nationwide.
Description
Perform Full Charge Bookkeeping Functions to include Bank Reconciliations, Accounts Receivable and Accounts Payable;
· Prepare and review Monthly Journal Entries to the General Ledger
· Prepare Monthly Financial Reports to Investors
· Maintain and track Escrow Account Balances for projects
· Maintain Lease Commission and Tenant Finish Out Ledgers
· Assist with Management and Variance Reports
· Assist with Escalations and Prior Year Recovery Calculations
· Prepare Financial Statements for Investment Entities
· Participate in preparation of Budgets
· Prepare Year End Tax Forms including Investor Statements
Maintain documentation for Lender Draws
Calculate Management Fees and Lease Commissions
Assist with State Tax Filings
Assist with Special Projects as requested
Reporting interface with property management and lenders.
Requirements
Proficient in YARDI and MS Windows and Office Products (Excel, Outlook, Word).
Have a bachelor degree in accounting or finance with a minimum of three years of progressive accounting experience through the controller level for a real estate development/commercial property management firm.
Understanding of general ledger structure and financial statement preparation, in a multi-entity real estate environment.
Must be organized and task oriented, able to work in a fast-paced, team oriented environment with multiple deadlines, and adapt readily to changing priorities.
Excellent written and oral communication skills.