Accounting Manager

Turn2Partners

Virginia Beach (VA)

On-site

USD 61,992 - 68,880

Part time

14 days+
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Job summary

Turn2Partners is seeking an Interim Accounting Manager for their Virginia Beach headquarters. The role requires overseeing the accounting team and ensuring financial deadlines are met.

Qualified candidates will have a Bachelor's degree and experience in property management or real estate. This contract position offers a compensation of $45-50/hour, and it is fully onsite.

Qualifications

  • Bachelor's degree required.
  • Experience in real estate or property management field.
  • Strong understanding of accounting principles.

Responsibilities

  • Oversee accounting timelines and deliverables to ensure deadlines are met.
  • Review work prepared by staff and senior accountants for accuracy and completeness.
  • Manage and participate in month-end close activities.
  • Prepare and post journal entries.
  • Perform balance sheet reconciliations and general ledger reviews.
  • Conduct variance analysis and provide explanations for account activity.
  • Maintain and monitor recurring general ledger activities.
  • Track and reconcile utility-related accounting activity.
  • Ensure financial statements and reconciliations are completed accurately and on time.
  • Prepare and support financial reporting requirements.

Skills

Accounting management
Attention to detail
Variance analysis
Knowledge of real estate

Education

Bachelor's degree

Job description

Location: Virginia Beach, VA (fully onsite)

Type: Contract

Compensation: $45-50/hr

Our client, a property management firm, is looking to add a interim Accounting Manager to their growing team. This opportunity sits in the client's Virginia Beach headquarters five days a week. A bachelor's degree and experience in the real estate or property management field is required.

  • Oversee accounting timelines and deliverables to ensure deadlines are met
  • Review work prepared by staff and senior accountants for accuracy and completeness
  • Manage and participate in month-end close activities
  • Prepare and post journal entries
  • Perform balance sheet reconciliations and general ledger reviews
  • Conduct variance analysis and provide explanations for account activity
  • Maintain and monitor recurring general ledger activities
  • Track and reconcile utility-related accounting activity
  • Ensure financial statements and reconciliations are completed accurately and on time
  • Prepare and support financial reporting requirements
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