ZipdevZipdev

Senior Property Accountant

Added 1 month ago

Description

Description

Our client is seeking a highly skilled and analytical Senior Property Accountant to join our team. This role will report directly to the Controller and is responsible for full-cycle property accounting, including complex transactions such as acquisitions, dispositions, capital activity, and investor distributions.

This is not a transactional role. The ideal candidate must demonstrate strong critical thinking, ownership of financial accuracy, and the ability to identify and resolve discrepancies independently. The candidate should be comfortable operating in a fast-paced, evolving environment and be proactive in improving processes and controls.

Role Mission:

To ensure accurate, timely, and complete financial reporting while proactively identifying issues, improving processes, and supporting strategic decision-making across the portfolio.

Key Responsibilities:

General Ledger & Financial Reporting

  • Maintain and reconcile general ledger accounts; prepare and review journal entries
  • Own full month-end close process with strong self-review and variance analysis
  • Prepare financial statement packages with supporting schedules and explanations
  • Identify discrepancies and proactively resolve issues before review

Capital & Transaction Accounting

  • Record equity contributions and distributions, including investor allocations
  • Prepare and record acquisition and disposition entries, including gain/loss calculations
  • Prepare Construction Draw Funding entries
  • Understand and account for 1031 exchange transactions
  • Record and track intercompany activity and capital structures

Accounts Receivable & Tenant Analysis

  • Review tenant ledgers and identify discrepancies, unapplied cash, or missing payments

  • Investigate tenant disputes and reconcile balances with supporting documentation

  • Ensure accurate billing and revenue recognition

Accounts Payable

  • Oversee AP and AR processes; review entries for proper coding and accuracy.
  • Identify and resolve discrepancies in AP transactions; perform necessary reconciliations.
  • Process recurring financial transactions such as debt service, real estate taxes, and utility payments.
  • Calculate and maintain Management/Acquisition Fee schedules for

Property-Level Accounting & Operations

  • Lead CAM reconciliations and validate accuracy of recoveries

  • Ensure lease terms are accurately reflected in financial reporting

  • Monitor property-level financial performance and identify variances

  • Track and record intercompany transactions, wire fees, and bank charges.

Management Fee Calculation Billing & Tracking

  • Calculate and prepare management fess in accordance with PM agreements
  • Ensure accuracy of fee structure and the supporting calculations across managed entities.
  • Coordinate internal review and approval prior to posting
  • Record and upload management fee charges in Yardi at the property level.
  • Maintain supporting documentation for audit and reconciliation purposes.

Debt & Asset Management Support

  • Maintain loan schedules and record financing activity

  • Record deferred financing costs and amortization

  • Support asset management with financial analysis and reporting

Process Improvements & Controls

  • Identify inefficiencies and propose process improvements
  • Develop and update SOPs to improve accuracy and consistency
  • Ensure adherence to internal controls and accounting policies

Reporting & Compliance

  • Prepare cash reports and support investor reporting requirements
  • Assist with audits and tax support as needed
  • Ensure compliance with GAAP and company policies

Requirements

  • 5–8 years of experience in property accounting or real estate accounting
  • Strong proficiency in Yardi (required)
  • Advanced Excel skills
  • Strong understanding of GAAP and real estate accounting concepts
  • Experience with acquisitions, dispositions, and capital activity
  • Ability to think critically and solve problems independently
  • Strong attention to detail with a high level of accountability
  • Excellent communication and organizational skills

Milestone Timeline

First 30 Days – Integration & Orientation

  • Complete onboarding and system training
  • Review property financials and identify initial discrepancies
  • Understand capital structures and reporting requirements

By Day 60 – Independent Execution

  • Own month-end close for assigned properties
  • Begin handling capital activity and transaction entries
  • Identify and communicate process improvement opportunities

By Day 90 – Ownership & Accuracy

  • Fully manage assigned portfolio with minimal oversight
  • Perform detailed variance analysis and provide explanations
  • Support acquisition/disposition accounting

By Day 120 – Strategic Contributor

  • Lead complex transactions and reporting
  • Improve processes and documentation
  • Serve as a key resource to the Controller and team

Benefits

  • Work remotely Monday - Friday, 40 hours a week (no weekends)
  • Did we mention it's REMOTE?!!

One of our core values at Zipdev is "Be authentic." that's why we encourage you to answer the application form in your own words; we are interested in getting to know you, not a digital assistant.

Wondering how our remote environment or our payment method work? We've put together some helpful answers in our FAQs at the bottom our our career site. Take a look and let us know if you have any other questions!

Company

Zipdev connects companies with Latin American remote talent, offering a streamlined hiring process, cost-effective solutions, time-zone aligned teams, and full onboarding including payroll and HR support.

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