Multifamily Investment Company and Property Management Company
Multifamily Controller
Multifamily Investment Company and Property Management Company, Atlanta, Georgia, United States, 30383
Benefits:
401(k)
401(k) matching
Bonus based on performance
Dental insurance
Health insurance
Paid time off
Training & development
Vision insurance
Our Company:
We are a real estate investment and management firm seeking an ambitious, detail-oriented team member for the Controller position. We are looking for a skilled Multifamily Controller to oversee financial operations and ensure accurate and reliable financial reporting.
Role Overview:
The Multifamily Controller will manage financial aspects of our multifamily portfolio, including accounting, reporting, budgeting, and compliance. The ideal candidate will have experience in multifamily property accounting and a strong understanding of real estate financial operations, including budget management, financial analysis, payroll, forecasting, accounts payable, and receivable.
Required Skills:
Experience with RealPage software
Experience in the Multifamily industry or similar
Proven experience as a Controller or Assistant Controller
5+ years of accounting and finance experience
Degree in Accounting or Finance preferred
CPA or CMA preferred
Knowledge of accounting principles and procedures
Experience creating financial statements
Proficiency with accounting software
Experience with general ledger functions and month-end/year-end close
Job Responsibilities:
Manage all accounting operations: billing, A/R, A/P, GL, and counsel
Prepare and publish monthly financial statements
Coordinate regulatory reporting
Research technical accounting issues for compliance
Support month-end and year-end close processes
Ensure quality control over transactions and reporting
Manage compliance with government reporting and tax filings
Collaborate with Community Managers and COO on financial reporting and budgets
Oversee cash management, risk management, and information systems, including cash flow projections
Maintain escrow analyses
Handle accounts payable functions: issuing checks, wire/ACH payments, vendor files, and inquiries
Prepare operating and tax expense reconciliations
Maintain records in accordance with GAAP or other standards
Perform month-end close procedures and account reconciliations
Review and analyze the general ledger
Assist in annual budgeting
Prepare for audits
Analyze monthly/quarterly financial statements with property teams
Prepare quarterly debt compliance documentation
Assist in setting up new projects with guidance from COO
Ensure internal controls are met and risks are mitigated
Prepare tax projections and workpapers
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