US Commercial Leasing & Property Accounting Expert

Level3bos

Karachi Division

On-site

PKR 16,620,000 - 24,931,000

Full time

47 hours ago
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Job summary

Level3bos is seeking a US Commercial Leasing Expert / Property Accountant to manage lease interpretation, tenant billing, and property accounting using Yardi. You will review US lease structures (NNN, Gross, Modified Gross, CAM), perform lease abstracts, configure billing, reconciliations, and coordinate with property management and finance teams to ensure accurate data and compliant processes.

Strong knowledge of US lease terminology, experience with AR/AP, and bank reconciliations are

Qualifications

  • Proven experience in US commercial real estate leasing and property accounting.
  • Knowledge of US lease structures (NNN, Gross, Modified Gross, CAM).
  • Experience with tenant billing, AR/AP, reconciliations, and lease recoveries.

Responsibilities

  • Review and interpret US commercial leases, including NNN, Gross, Modified Gross, CAM, rent escalations, taxes, insurance, and tenant recoveries.
  • Prepare lease abstracts and configure lease terms, billing schedules, escalations, and recoveries in Yardi.
  • Manage tenant billing, payments, AR, AP, cash receipts, and bank reconciliations.
  • Allocate property expenses and tenant recoveries according to lease terms.
  • Assist with CAM and year-end reconciliations.
  • Verify tenant billings against executed lease agreements.
  • Prepare and analyze property-level financial, AR, and AP reports.
  • Coordinate with property management, leasing, and finance teams to resolve discrepancies.
  • Maintain accurate lease and accounting data in Yardi.

Skills

US commercial leases
Property accounting
Yardi
Tenant billing
AR/AP
Reconciliations

Tools

Yardi

Job description

Level3bos is seeking a US Commercial Leasing Expert / Property Accountant to manage lease interpretation, tenant billing, and property accounting using Yardi. You will review US lease structures (NNN, Gross, Modified Gross, CAM), perform lease abstracts, configure billing, reconciliations, and coordinate with property management and finance teams to ensure accurate data and compliant processes.

Strong knowledge of US lease terminology, experience with AR/AP, and bank reconciliations are

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