Property Accountant - Hybrid with Growth Opportunities

MRI India

Manila

Hybrid

PHP 600,000 - 900,000

Full time

14 days+
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Benefits offered by this job

Hybrid Working Arrangement (2 days WFH
HMO coverage with free dependent
20 annual leaves with cash conversion
Tuition reimbursement offerings
Employee referral program
Flex time / extra leave options

Job summary

MRI Software is seeking an experienced accounting professional to manage cash application, bank reconciliation, and monthly close activities for multiple properties. The role emphasizes accuracy, independent work habits, and strong communication with internal teams and clients.

In this position, you will prepare financial reports, validate ledger balances, and support process improvement while training new analysts as proficiency grows.

Qualifications

  • Strong accounting knowledge across general ledger, balance sheet, and income statement review.
  • Ability to work independently while managing priorities and deadlines across multiple assignments.
  • Effective written and verbal communication with internal teams and clients.

Responsibilities

  • Process cash application and AP coding as part of the monthly close and portfolio support cycle.
  • Prepare and complete bank reconciliations, including investigation and resolution of reconciling items.
  • Prepare, review, and generate monthly financial reports for assigned properties.
  • Validate balance sheet balances and compare income statement activity to the trial balance/general ledger for accuracy.
  • Prepare supporting workbooks and schedules required by each client.
  • Clear review notes from task leads, reviewers, and clients in a timely manner.
  • Provide training to new analysts/accountants on bank recs, cash receipts, AP, and other routine processes as proficiency increases.

Skills

Accounting knowledge
GL/BS review
Prioritize deadlines
Communication

Job description

MRI Software is seeking an experienced accounting professional to manage cash application, bank reconciliation, and monthly close activities for multiple properties. The role emphasizes accuracy, independent work habits, and strong communication with internal teams and clients.

In this position, you will prepare financial reports, validate ledger balances, and support process improvement while training new analysts as proficiency grows.

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