Property Accountant

Aspire Talent Solutions

Boca Raton (FL)

On-site

USD 65,000 - 90,000

Full time

9 days ago
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Job summary

Aspire Talent Solutions client is seeking a Property Accountant in Boca Raton to support month-end close, prepare financial statements, and manage cash flow for the portfolio.

Responsibilities include journal entries, balance sheet reconciliations, bank reconciliations, and coordinating wire transfers. 3+ years in accounting and a Bachelor's Degree are required.

Qualifications

  • 3+ years experience in accounting and full financial statement preparation.
  • Bachelor's Degree is required.
  • Knowledge of property accounting is a plus.

Responsibilities

  • Prepare and enter monthly journal entries for month-end close.
  • Complete balance sheet schedules and reconcile accounts.
  • Reconcile monthly loan and interest with lender statements.
  • Prepare financial statements and supporting schedules for all entities in the portfolio.
  • Manage cash activity including wire transfers and recording cash transactions.

Skills

Month-end close
Journal entries
Bank reconciliations
Financial statements
Cash management
Wire transfers

Education

Bachelor's Degree

Job description

Our client is one of the largest companies in the Real Estate Development space and they are looking for a Property Accountant to join their team in their beautiful modern Boca office. The Property Accountant’s primary responsibilities include managing month-end close processes and preparing financial statements. This involves preparing and posting journal entries, analyzing balance sheet accounts, reviewing construction P&L accounts, and initiating all wire transfers for their region. Additional duties include reviewing the property management financial statement package, overseeing cash management, and preparing monthly draw requests.

What you’ll be doing:
  • Gathers required information for month-end close by preparing and entering monthly journal entries, performing bank reconciliations, and maintaining cash sheets.
  • Completes balance sheet schedules to ensure accurate reporting of monthly financials and reconciliation of balance sheet accounts.
  • Reconciles monthly interest and loan balances with lender statements.
  • Prepares financial statements and supporting schedules for all entities within the assigned portfolio.
  • Manages cash activity, including initiating wire transfers and recording all cash‑related transactions for the portfolio promptly.
  • Prepares bank reconciliations.
  • Participates in company‑provided training, including safety, anti‑discrimination, information systems, and harassment prevention.
  • Adheres to all company standards, health and safety regulations, and applicable local, state, and federal laws.
Experienceyou bring to the table:
  • 3+ plus years experience in accounting and full financial statement preparation.
  • Bachelors Degree
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