Intermediate Property Accountant (must have property management experience)
This position works closely with other accounting team members in providing timely & accurate management reporting and analytical support to the Property Management Group, Asset Management, and Corporate Accounting.Full Description:
POSITION: Intermediate Property Accountant
LOCATION: Bankers Hall
REPORTING TO: Manager, Property Accounting
DESCRIPTION AND RESPONSIBILITIES
This position works closely with other accounting team members in providing timely & accurate management reporting and analytical support to the Property Management Group, Asset Management, and Corporate Accounting.
This position involves directing and overseeing the following for the Bankers Court property:
. Monthly journal entry preparation in an accurate and timely manner
. Daily bank reconciliation and clearing of cheques
. Review monthly rent roll reconciliation
. Preparation of monthly balance sheet reconciliation
. Monthly GST reconciliation
. Preparation of monthly and quarterly reporting packages
. Preparation of Year-end Audit Package Requirements
. Input and preparation of annual budget
. Year-end Adjustments and Pre-billings: ensuring that all pertinent information necessary to prepare Year-end Adjustment and Pre-billings are made available for timely completion
. Assisting various departments with accounting information/direction as needed
. Liaising with counterparts in other Clients offices
. Other projects as required
Excellent communication and organizational skills. Must be able to work both in a team environment and independently in a highly deadline driven environment. Self-motivated, detail oriented with strong initiative and analytical skills. Multi-tasking, problem solving and prioritization skills are critical to this role.
1 year experience in a Property Accounting Environment is preferred but not required.
Working toward a professional accounting designation, CGA or CMA is preferred but not required.
Advanced level MS Excel, MS Outlook and MS Word is required. Solid working knowledge of accounting software preferred (CTI, Clarity and Hyperion).