This position will manage full cycle financial transactions for assigned apartment communities/construction projects, manage lien releases, record and reconcile vendor payment, prepare monthly financial statements and analyze operational costs.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
- Prepare and review monthly financials for select properties
- Assist in managing the preparation and analysis of cost projections for assigned insurance claim construction projects.
- Perform account reconciliations to ensure proper allocation of expenses and funding to complete internal reports
- Assist and prepare support packages for both insurance draws and lender escrow draws as it relates to each insurance claim
- Ensure all project invoices include appropriate lien releases for each progress payment and ensure project close out documentation includes final release both from contractor and subcontractors.
- Prepare Rent Loss schedules and reconcile with insurance provided reports
- Special projects as needed
QUALIFICATIONS:
- BS/BA degree required
- Minimum 3 years of full cycle accounting experience
- Construction and/or cost accounting experience preferred
- Advanced proficiency in Excel and other MS applications
- Yardi experience required
- Excellent organizational, problem-solving, and quantitative skills with strong attention to detail
- Highly motivated self-starter, self-motivated, team oriented individual who is committed to meeting deadlines
- Capable of handling multiple projects and analyzing a high-volume of data