Property Accountant — Multi-Property Finance

The John Stewart Company

Sacramento (CA)

On-site

USD 65,000 - 86,000

Full time

14 days+
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Benefits offered by this job

Medical, dental and vision care
Vacation leave up to 10 days per year
Up to 80 hours of sick time per year
Flexible Spending Accounts
Company paid Life AD&D LTD
Employee Assistance Program
Commuter benefit program
Wellness reimbursement
401(k) retirement with employer match

Job summary

The John Stewart Company is seeking an Accountant to produce accurate monthly financial reports for 8–20 properties and oversee AP/AR activities. The role requires a solid GAAP foundation and the ability to work in a collaborative team environment.

Responsibilities include bank reconciliations, journal entries, and variance analysis across multiple properties. Proficiency in MS Office and property management software is preferred; experience with MRI/Nexus is a plus.

Qualifications

  • BS in Accounting or Finance or equivalent experience.
  • Knowledge of GAAP principles and financial reporting.
  • Solid writing and verbal communication skills.
  • Experience with Microsoft Office (Word, Excel, Outlook).
  • Experience with property management systems such as MRI, Boston Post Property Manager or Nexus is a plus.

Responsibilities

  • Produce accurate and timely monthly financial reports for 8–20 properties.
  • Oversee AP/AR activities by site staff.
  • Prepare bank reconciliations and journal entries.
  • Maintain prepaid and accrual schedules.
  • Analyze balance sheets and income statements for variances.

Skills

GAAP knowledge
Communication skills
Team collaboration
MS Office
Auditing coordination

Education

BS in Accounting or Finance

Tools

MRI
Boston Post Property Manager
Nexus

Job description

The John Stewart Company is seeking an Accountant to produce accurate monthly financial reports for 8–20 properties and oversee AP/AR activities. The role requires a solid GAAP foundation and the ability to work in a collaborative team environment.

Responsibilities include bank reconciliations, journal entries, and variance analysis across multiple properties. Proficiency in MS Office and property management software is preferred; experience with MRI/Nexus is a plus.

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