Lawson
Lawson is seeking an experienced
Property Accountant
to oversee the financial responsibilities for a portfolio of multifamily residential properties.
Duties/Responsibilities:
Account Reconciliations Audit
Assist property manager in reviewing actual vs. budget discrepancies
Reconcile monthly bank statements to general ledger
Prepare audit-related schedules/work papers for annual audit
Reconcile mortgage activity to bank records
Assist with audit and tax workpaper preparation
Internal control review and compliance
Review for accurate GAAP accounting
Cash and escrow analysis
Assist with annual budget preparations
Review, prepare, and analyze monthly financial statements on an accrual basis
Prepare monthly, quarterly, and annual reports to clients
Calculate monthly management fees for billing sites
Perform accounts receivable functions for assigned properties
Ensure security deposit accounts are fully funded liabilities
Maintain and track fixed assets and prepare monthly depreciation entries
Assist sites with accounting-related questions
Answer auditor questions
Requirements:
Bachelor's Degree in Accounting or equivalent experience
Strong organizational skills and effective recordkeeping
Attention to detail and excellent communication skills
Ability to work independently and as part of a team
Flexibility to work days, evenings, weekends as needed
Proficiency in Microsoft Office; familiarity with SAGE 300 CRE, Sage, Fixed Assets Depreciation, and OneSite preferred
Knowledge of financial regulations and LIHTC is a plus
Positive attitude, trustworthiness, integrity, and honesty
Education:
Bachelor's Degree in Accounting or equivalent experience
Physical Functions:
Bending, kneeling, stretching, climbing stairs and ladders, squatting, and lifting up to 15 pounds.
Seniority level
Entry level
Employment type
Full-time
Job function
Accounting/Auditing and Finance
#J-18808-Ljbffr
Property Accountant
to oversee the financial responsibilities for a portfolio of multifamily residential properties.
Duties/Responsibilities:
Account Reconciliations Audit
Assist property manager in reviewing actual vs. budget discrepancies
Reconcile monthly bank statements to general ledger
Prepare audit-related schedules/work papers for annual audit
Reconcile mortgage activity to bank records
Assist with audit and tax workpaper preparation
Internal control review and compliance
Review for accurate GAAP accounting
Cash and escrow analysis
Assist with annual budget preparations
Review, prepare, and analyze monthly financial statements on an accrual basis
Prepare monthly, quarterly, and annual reports to clients
Calculate monthly management fees for billing sites
Perform accounts receivable functions for assigned properties
Ensure security deposit accounts are fully funded liabilities
Maintain and track fixed assets and prepare monthly depreciation entries
Assist sites with accounting-related questions
Answer auditor questions
Requirements:
Bachelor's Degree in Accounting or equivalent experience
Strong organizational skills and effective recordkeeping
Attention to detail and excellent communication skills
Ability to work independently and as part of a team
Flexibility to work days, evenings, weekends as needed
Proficiency in Microsoft Office; familiarity with SAGE 300 CRE, Sage, Fixed Assets Depreciation, and OneSite preferred
Knowledge of financial regulations and LIHTC is a plus
Positive attitude, trustworthiness, integrity, and honesty
Education:
Bachelor's Degree in Accounting or equivalent experience
Physical Functions:
Bending, kneeling, stretching, climbing stairs and ladders, squatting, and lifting up to 15 pounds.
Seniority level
Entry level
Employment type
Full-time
Job function
Accounting/Auditing and Finance
#J-18808-Ljbffr