Real Estate Accounting Specialist

Tarantino Properties, Inc.

Houston (TX)

On-site

USD 52,000 - 68,000

Full time

6 days ago
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Job summary

Tarantino Properties, Inc. in Houston, TX, is seeking an Accounting Associate to join our corporate office. You will analyze financial information, prepare and reconcile financial statements, prepare journal entries, and generate financial reports for management and lenders.

Responsibilities include processing payments, maintaining the general ledger, month-end closings, 1099 processing, and timely lender reporting to ensure accuracy and compliance.

Qualifications

  • Bachelor’s Degree in Business, Finance, Accounting or Economics is required.
  • 2+ years of Real Estate Accounting experience preferred.
  • Understanding of accounting principles.

Responsibilities

  • Responsible for daily, weekly, and monthly accounting processes and must meet all accounting deadlines
  • Process payments including all mortgages, utilities, and invoices by appropriate due dates
  • Process checks, wires and ACH
  • Prepare accurate and timely monthly financial reports for clients and lender reporting as well as internal use
  • Prepare and submit quarterly lender reporting and routine lender reserve/ capital reserve draws related to property construction projects by appropriate deadlines.
  • Monthly reconciliation of all property operation accounts
  • Maintain accurate journal entries with basic understanding of accounting principles
  • Assist with the processing and distributions of year end 1099s
  • General Ledger maintenance and reconciliations

Skills

Real estate accounting

Education

Bachelor's Degree in Business/Finance/Accounting/Economics

Job description

Tarantino Properties, Inc. in Houston, TX, is seeking an Accounting Associate to join our corporate office. You will analyze financial information, prepare and reconcile financial statements, prepare journal entries, and generate financial reports for management and lenders.

Responsibilities include processing payments, maintaining the general ledger, month-end closings, 1099 processing, and timely lender reporting to ensure accuracy and compliance.

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