Accounting Manager

CBRE Group, Inc.

BLOOMINGTON, Northern (MN, KY)

On-site

USD 85,000 - 120,000

Full time

14 days+
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Job summary

CBRE Group, Inc. in Minnesota seeks an Accounting Manager to lead a team of accountants responsible for client financial reporting across assigned portfolios.

You will ensure reports are accurate and compliant, review monthly pricing and allocations in PeopleSoft, and support internal audits and client transitions.

The role emphasizes maintaining strong processes, meeting deadlines, and collaborating with internal teams to uphold client agreements.

Qualifications

  • Lead a team of accountants to deliver client financial reporting.
  • Ensure accuracy and compliance of financial reports.
  • Coordinate audits and transitions with internal/external stakeholders.

Responsibilities

  • Review financial packages for accuracy before release to internal/external clients.
  • Confirm payment of debt, real estate taxes, sales taxes, and owner distributions.
  • Assist with property/client transitions and external audits as needed.
  • Suggest consulting opportunities based on pricing platform knowledge.
  • Audit monthly pricing worksheets and enter allocations into PeopleSoft.
  • Review AR reports to confirm reconciliations are complete and resolved.
  • Partner with internal teams to ensure client agreements are followed and fees are correct.

Skills

Team leadership
Financial reporting
PeopleSoft
Audit coordination

Tools

PeopleSoft
Excel

Job description

About The Role:

As a CBRE Accounting Manager, you will manage a team of accountants. This team will provide client financial reporting to assigned portfolios and you will be responsible for making sure reports are accurate and compliant.

This job is part of the General Accounting job function. They are responsible for the development and day-to-day maintenance of accounting processes and procedures.

What You\'ll Do:
  • Review financial packages for accuracy before releasing to internal departments and external clients.
  • Confirm completion of debt, real estate taxes, sales taxes, and owner distributions payments.
  • Assist with internal and external property and client transitions and assist with external audits as needed.
  • Suggest consulting opportunities based on knowledge of the department's pricing platform.
  • Audit monthly pricing worksheets and enter allocations into PeopleSoft.
  • Review accounts receivable reports to confirm reconciliations are compete and reviewed. Resolves open issues for the team.
  • Partner with internal teams to make sure that a client's agreement is being followed and met.
  • Verify management fees are correct according to the rules in the Management Agreement.
  • Review budgets and annual year-end recovery calculations to ensure timely completion.
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