Looking to grow your real estate accounting career with a company that offers strong benefits, leadership exposure, and long-term advancement opportunities? This role provides ownership of a commercial property portfolio while giving you the chance to contribute to acquisitions, process improvements, and continued business growth.

Staff Accountant

Salary: $70,000-$75,000 base salary + bonus eligibility

Why This Opportunity Stands Out:

• Competitive benefits package including employer-paid health insurance and a 401(k) with a 10% company match
• Consistent bonus program with a strong track record of payouts
• Direct exposure to senior leadership and ownership teams
• Opportunity to expand responsibilities as the commercial real estate portfolio continues to grow
• Play an active role in acquisitions, property onboarding, and business expansion initiatives
• Work with modern real estate accounting systems and industry best practices
• Gain broad exposure to property accounting, financial reporting, and operational finance
• Join a growing organization where your contributions have visible impact on business performance
• Opportunity to strengthen your expertise in commercial real estate accounting and portfolio management

Key Responsibilities for the Staff Accountant:

• Manage full-cycle accounting activities for a portfolio of commercial real estate properties
• Prepare journal entries, accruals, account reconciliations, and monthly financial statements
• Oversee accounts payable, accounts receivable, lease administration, and CAM reconciliations
• Partner with property managers and leadership to support reporting and financial performance initiatives
• Assist with new property onboarding, accounting process improvements, and system enhancement projects

Qualifications for the Staff Accountant:

• Bachelor’s degree in Accounting, Finance, or a related field
• 3+ years of commercial real estate or property accounting experience
• Experience using Yardi Voyager or comparable real estate accounting software
• Strong understanding of month-end close, account reconciliations, and financial reporting

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