Senior Real Estate Accountant I

Pacific Asset Management, LLC

Newport Beach (CA)

On-site

USD 93,600 - 114,400

Full time

14 days+
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Benefits offered by this job

Medical plan
Dental plan
Vision plan
Wellbeing programs
Paid time off

Job summary

Pacific Life Insurance Company is seeking a Senior Accountant I to join the real estate accounting and reporting team in Newport Beach, CA. You will record financial statement activity, cash activity, and adjustments for real estate investments, while coordinating with property managers and stakeholders to ensure accurate monthly close.

The role emphasizes oversight of operational tasks, month-end close, reconciliations, KPI validation, and support for acquisitions/dispositions.

Qualifications

  • 5+ years of experience in a relevant field.
  • Proficiency with Microsoft Office, including Excel, Teams, Outlook, etc.
  • Ability to manage multiple responsibilities under tight deadlines.
  • CPA candidacy or licensure is preferred; public accounting experience is a plus.

Responsibilities

  • Record month-end and quarter-end entries as part of the financial close process.
  • Prepare month-end and quarter-end reconciliations and support schedules.
  • Review property manager financial statements for accuracy and completeness.
  • Upload and validate KPIs and non-financial information for real estate properties.
  • Assist with real estate acquisitions/dispositions and closing entries.
  • Develop and maintain SOPs to promote consistency and efficiency.
  • Support periodic reporting for real estate investments and audits.

Skills

Accounting
Analytical
Communication
Organizational
Mentorship

Education

Bachelor's degree in accounting

Tools

PeopleSoft
Oracle
Essbase
ARCs
Yardi
Excel
Microsoft Office

Job description

Pacific Life Insurance Company is seeking a Senior Accountant I to join the real estate accounting and reporting team in Newport Beach, CA. You will record financial statement activity, cash activity, and adjustments for real estate investments, while coordinating with property managers and stakeholders to ensure accurate monthly close.

The role emphasizes oversight of operational tasks, month-end close, reconciliations, KPI validation, and support for acquisitions/dispositions.

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