Development-Focused CRE Accounting Manager

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, based in Atlanta, GA, seeks an experienced Assistant Controller to support development and property accounting. You will handle financial statements, ledgers, reconciliations, project cash flows, cost tracking, and development entity reporting in a fast-paced CRE environment.

Strong GL/accounting foundation and hands-on reconciliation experience are required, with collaboration across development and accounting leadership.

Qualifications

  • Experience with general ledger accounting and financial statements.
  • Strong ability to reconcile bank and subsidiary ledgers.
  • Experience in development or property accounting preferred.
  • Hands-on experience with A/P, A/R, and month-end close.
  • Detail-oriented with ability to manage multiple properties and deadlines.
  • Collaborates well with development and accounting leadership.

Responsibilities

  • Prepare financial statements and balance sheet reconciliations.
  • Oversee cash flow for construction and development projects.
  • Reconcile bank accounts and subsidiary ledgers.
  • Perform daily cost tracking and analysis.
  • Create cost reports on daily, weekly, and monthly cycles.
  • Maintain development ledgers and property financial statements.
  • Prepare development entity financial reporting for monthly review.
  • Record journal entries for acquisitions, dispositions, and assets.
  • Investigate discrepancies to ensure accounting accuracy.

Skills

GL accounting
Financial reporting
Reconciliations
Cash flow management
Cost analysis
Journal entries
Tenant billing

Job description

Staff Financial Group, based in Atlanta, GA, seeks an experienced Assistant Controller to support development and property accounting. You will handle financial statements, ledgers, reconciliations, project cash flows, cost tracking, and development entity reporting in a fast-paced CRE environment.

Strong GL/accounting foundation and hands-on reconciliation experience are required, with collaboration across development and accounting leadership.

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