Senior Receivership Accountant

Trigild

$80K — $95K *
Real Estate & Construction
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 4+ years of commercial real estate accounting experience across multiple property types
  • Knowledge of GAAP with a focus on real estate
  • Bachelor's degree in accounting preferred
  • Experience with Yardi software is a plus
  • Strong analytical skills and well-organized with the ability to manage multiple tasks
  • Excellent communication, presentation, and interpersonal abilities

Responsibilities

  • Review financial reporting from third-party management companies against court order requirements
  • Manage general ledgers for self-managed properties including monthly entries and reconciliations
  • Analyze accounts payable, accounts receivable, and lease administration functions
  • Prepare monthly and quarterly reporting packages with balance sheet analyses
  • Create annual expense reconciliation schedules and tenant billings as necessary
  • Compile detailed working papers for auditors
  • Assist with property setup and emergency expense payments
  • Review funding requests from third-party managers

Benefits

  • Opportunity to work in a dynamic real estate environment
  • Experience in handling complex financial reporting for receiverships
  • Chance to develop expertise in both self-managed and third-party managed property accounting
  • Involvement in audit processes and special projects for professional growth
Full Job Description
Lincoln Property Company is seeking an accountant that will be responsible primarily for reviewing financial reporting produced by third party management companies for a group of properties in receivership. A few self-managed receiverships may require full reporting which would include financial reporting, budgeting, cash management, and expense reconciliations.

Responsibilities:
  • Review third party management reporting including: comparing provided reports to reports required by court order; confirm reports are correct property, period, and basis; confirm bank reconciliations; confirm balance sheet support schedules; confirm net income ties to retained earnings and rolls forward correctly from prior month reporting.
  • Responsible for the general ledgers for self-managed properties assigned, including monthly journal entries and bank reconciliations.
  • Understanding of accounts payable (AP), accounts receivable (AR), cash receipts and lease administration functions of commercial real estate and how they drive the financial results of assigned project.
  • Prepare monthly and quarterly reporting packages on the assigned portfolio of properties for self-managed properties. The packages include analyses and support schedules of all balance sheet accounts and explanations of significant variances in income statement accounts.
  • Prepare annual expense reconciliation schedules and billings to tenants with Property Managers as needed for self-managed properties.
  • Prepare detailed interim and year-end working papers and support schedules requested by internal and external auditors as needed.
  • Assist with audits in terms of research, analysis, documentation and response.
  • Assist with property set up and payment of initial emergency expenses for receiverships.
  • Review third party manager funding requests as needed.
  • Handle special projects, assigned.


Desired Competency, Experience and Skills:
  • Communication, presentation and interpersonal skills
  • Strong analytical ability
  • Well-organized; self-starter, able to handle multiple priorities
  • 4+ years of commercial real estate accounting experience with multiple property types preferred
  • Knowledge of GAAP (specifically, real estate)
  • Understanding of property management in relation to financial accounting, recoveries, budgeting and forecasting
  • Bachelor's degree in accounting preferred
  • Experience with Yardi desired
  • Proficiency in PC-based software such as Microsoft Excel

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