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Property Accountant

  • Full Time
  • Anywhere

Easy Outsource

This is a remote position.

Job Overview

We’re looking for a detail-oriented and accountable Property Accountant who can confidently own a portfolio of corporations and manage the full-cycle property accounting process end to end. This is not a task-based role. We need someone who takes full responsibility for their financials, understands the story behind the numbers, and can spot and resolve issues before they become problems.

In this role, you’ll be responsible for preparing accurate monthly financial statements, completing reconciliations, and driving the full month-end close process, including accruals and adjustments. You’ll oversee accounts payable and receivable, manage general ledger integrity, and support collections, NSF handling, and coordination with Condominium Managers.

We’re looking for someone who has a strong grasp of accrual accounting and financial reporting, follows structured processes, and consistently delivers clean, accurate financials on time. Just as important, you should be comfortable reviewing your own work critically and communicating clearly with internal teams to ensure alignment and transparency.

RESPONSIBILITIES:

    Preparation of monthly financial statements (balance sheet, income statement, supporting schedules)

    Bank, credit card, and general ledger reconciliations completed accurately and on time

    Full month-end close process, including accruals and adjustments

    Oversight of accounts payable and receivable, including EFT processing

    General ledger management and accuracy of all postings

    Handling NSFs, collections support, and coordination with Condominium Managers

    Audit preparation and year-end support

KEY EXPECTATIONS (Property Accountant vs. Bookkeeper:

    Ownership of aportfolio of corporations, not task-based work

    Review and understanding of financials prior to submission

    Ability toidentify discrepancies and resolve issues proactively

    Strong understanding ofaccrual accounting and financial reporting

    Consistent adherence tostructured month-end processes and checklists

    Clear communication with internal teams regarding financials

Requirements

QUALIFICATIONS & REQUIREMENTS:

    3–5 years of relevant experience in property accounting or a similar full-cycle accounting role

    Proven experience managing a portfolio of entities or clients, not just task-based accounting work

    Strong understanding of accrual accounting, financial reporting, and month-end close processes

    Hands-on experience preparing monthly financial statements, including balance sheet, income statement, and supporting schedules

    Solid background in bank, credit card, and general ledger reconciliations with high accuracy and timeliness

    Experience overseeing accounts payable and receivable, including EFT processing

    Ability to identify discrepancies, investigate variances, and resolve issues proactively

    Experience supporting audits and year-end financial processes

    Highly organized with the ability to follow structured workflows, checklists, and deadlines consistently

    Strong attention to detail with a high level of accountability and ownership

    Clear and professional communication skills, with the ability to coordinate effectively with internal teams and stakeholders

    Proficiency in accounting systems and Microsoft Excel (experience with property management/accounting software is a plus)

Originally posted on Himalayas

To apply for this job please visit himalayas.app.

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