Real Estate Client Accountant — Full-Cycle & Data-Driven

Cushman & Wakefield

Town and Country (MO)

On-site

USD 60,000 - 70,000

Full time

10 days ago
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Benefits offered by this job

Health insurance
Competitive pay
Retirement savings plans

Job summary

The Cushman & Wakefield GOS Client Accountant role supports the Finance team with core accounting, bill payment and processing, and financial record maintenance across databases and systems. You will work with the Finance Manager and Senior Accountant to ensure accurate tracking of expenditures, revenue, cash flow and related activity.

Responsibilities include full cycle accounting, cash management support, AP/AR, reconciliations, and timely financial reporting in line with internal controls and

Qualifications

  • College degree in Finance or Accounting preferred.
  • 1–3 years of experience or equivalent.
  • Experience with Yardi or real estate accounting software; strong Excel and data analytics skills.
  • Analytical, detail-oriented with good communication.

Responsibilities

  • Perform full cycle accounting and analysis of accounts or transactions.
  • Prepare cash management, AP/AR, accruals and reconciliations.
  • Prioritize and maintain organization of a high-volume workload.
  • Prepare financial reports per internal controls and client requirements.
  • Research and analyze using data management tools and spreadsheets.
  • Communicate accounting issues and collaborate with clients and teams.
  • Apply procedures for accounting records and reporting; support audits.

Skills

Analytical
Attention to Detail
Communication

Education

College degree in Finance or Accounting

Tools

Yardi
Excel

Job description

The Cushman & Wakefield GOS Client Accountant role supports the Finance team with core accounting, bill payment and processing, and financial record maintenance across databases and systems. You will work with the Finance Manager and Senior Accountant to ensure accurate tracking of expenditures, revenue, cash flow and related activity.

Responsibilities include full cycle accounting, cash management support, AP/AR, reconciliations, and timely financial reporting in line with internal controls and

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