Responsibilities
- Manage the full-cycle accounting process for multiple student housing properties
- Prepare monthly, quarterly, and annual financial statements in accordance with GAAP
- Maintain the general ledger, including journal entries, accruals, and account reconciliations
- Oversee accounts payable/receivable processes and ensure timely vendor payments
- Prepare and track budgets, forecasts, and variance analyses at the property level
- Reconcile property bank accounts and monitor cash balances
- Coordinate with asset management, property management, and development teams to ensure accurate financial reporting
- Support year-end audits and tax return preparation
- Assist with onboarding and setup of new properties in the accounting system
- Identify and implement process improvements to increase accuracy and efficiency
- Perform additional objectives and responsibilities as assigned, or as the company’s needs change
- Represent the company with the highest levels of character and integrity
- Approach every project and task with a team player mindset and can-do attitude
