Assistant Controller, Commercial Real Estate - Development

Staff Financial Group

Atlanta (GA)

On-site

USD 120,000 - 145,000

Full time

10 hours ago
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Job summary

Staff Financial Group in Atlanta, GA seeks an experienced Assistant Controller to support development and property accounting for a growing commercial real estate portfolio. The role focuses on financial reporting, reconciliations, cash flow oversight, and cost tracking across multiple projects and properties.

The ideal candidate brings hands-on reconciliation experience, a solid foundation in property and development accounting, and the ability to collaborate with development and accounting

Qualifications

  • Strong knowledge of general ledger accounting, financial statements, and balance sheet reconciliations.

Responsibilities

  • Prepare financial statements, balance sheet account reconciliations, and related financial analysis.
  • Oversee cash flow sources for construction and development projects.
  • Reconcile bank accounts and subsidiary ledgers to the general ledger and balance sheet accounts.
  • Perform daily cost tracking, research, and analysis.
  • Create daily, weekly, and monthly cost reports.
  • Maintain development general ledgers and financial statements for individual properties.
  • Prepare development entity financial reporting for monthly review with development and accounting managers.
  • Record accounting journal entries related to acquisitions, dispositions, and assets placed in service.
  • Research discrepancies and help ensure the accuracy and integrity of development accounting records.

Skills

General ledger
Financial statements
Reconciliations
Property accounting
Development accounting
Cost analysis
Accounts payable
Accounts receivable
Month-end close
Collaboration

Job description

Staff Financial Group in Atlanta, GA seeks an experienced Assistant Controller to support development and property accounting for a growing commercial real estate portfolio. The role focuses on financial reporting, reconciliations, cash flow oversight, and cost tracking across multiple projects and properties.

The ideal candidate brings hands-on reconciliation experience, a solid foundation in property and development accounting, and the ability to collaborate with development and accounting

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