The Property Accountant is responsible for the end-to-end accounting of a designated portfolio of properties. This includes the accurate recording and reconciliation of operational property transactions, vendor payments, municipal charges, and expenses associated with the properties. The Property Accountant works closely with Financial Managers and property teams to ensure the financial integrity of the assigned portfolios and alignment with internal controls. This role involves a range of accounting responsibilities, including journal entry preparation, bank reconciliations, age analysis, and financial reporting.
Key Responsibilities:
GL Maintenance, Reporting and Reconciliations
Prepare and maintain the general ledger (GL), ensuring accurate and timely recording of all financial transactions
Prepare and post journal entries to the GL, ensuring accurate and timely recording of financial transactions
Prepare and deliver various accounting reports and supporting schedules, including balance sheets and income statement schedules
Maintenance of monthly balance sheet reconciliations
Prepare and reconcile inter-company loan accounts, ensuring accurate and timely recording of inter-company transactions
Manage the accounting and reconciliation of letting commissions, ensuring accurate recording and payment
Prepare age analysis reports for debtors and creditors, identifying overdue accounts and taking appropriate action to manage outstanding balances
Conduct detailed reconciliations and analysis, such as resolving issues on debtors’ accounts and preparing bond account reconciliations
Prepare shareholder loan schedules and reconciliations and reconcile inter-company loan accounts
Cashbook Related
Prepare and sign-off monthly bank account reconciliations, ensuring all transactions are recorded accurately and discrepancies resolved
Check cashbooks on a daily basis to ensure correct allocations
Capture cashbook entries
Compliance
Assist in the preparation for the year-end audits, ensuring all necessary documentation and reconciliations are completed and available for auditors
Address audit information requests and queries in a timely manner
Daily Operations
Check cashbooks on a daily basis to ensure correct allocation of transactions and maintain accurate financial records
AP Support with Supplier invoices for payment listing.
Process and reconcile supplier invoices related to property operations, including:
Municipal utilities (water, electricity, refuse, sewerage)
Security, cleaning, landscaping, and maintenance services
Building repairs and capital improvements
Process Efficiency and Automation
Create efficiencies through the implementation of automated processes and procedures, continuously seeking opportunities to streamline applicable accounting processes
Requirements:
Must be a South African Citizen
Must be willing to work onsite in Office
Bachelor’s degree in Accounting or Finance (or in progress)
Minimum 2 Years Of Accounting Experience (property Experience Advantageous)
Experience with municipal utility accounting and operational property transactions