Oversees the accounting and reporting for a portfolio of Single-Family properties.
Investigates, verifies and reconciles general ledger accounts on assigned property trial balances with sub-ledgers and/or appropriate support schedules.
Review property management agreements, addendum's and modifications to determine proper accounting.
Advises, assists and reviews GL transactions that impact revenue accounting and provide direction and support on pertinent accounting matters.
Owns various Accounting month-end close processes to comply with the Company’s reporting standards and deadlines.
Perform and oversee complex accounting calculations, create supporting schedules, and prepare journal entries for management review.
Critically analyzes data, performs research, and resolve issues effectively and communicate actions as required.
Work with accounting team to performing variance analysis, reporting, and investigate period over period differences for management review.