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This is a long-term contract position within the Real Estate and Property industry, offering an excellent opportunity to contribute to financial operations and property management processes. The ideal candidate will bring strong organizational skills and expertise in accounts receivable systems to ensure smooth and efficient workflows.
Job Responsibility:
Manage all property and corporate deposits, ensuring accuracy and timeliness
Train and assist Property Managers with move-ins, move-outs, and leasing procedures
Perform month-end deposit reconciliations, aged receivables reviews, and write-offs
Prepare journal entries and maintain accurate financial records
Set up new properties within the Yardi software system
Conduct bank reconciliations and verify financial transactions
Collaborate on special projects as assigned, contributing to process improvements
Utilize knowledge of property management and real estate investment to support business operations
Ensure compliance with cash and accrual basis accounting practices
Create and maintain spreadsheets using Microsoft Word and Excel for reporting and analysis
Requirements:
Proven experience in accounts receivable processes and systems
Proficiency in Yardi software, including RentCafe and CheckScan
Strong knowledge of property management and real estate investment practices
Familiarity with bank reconciliation and financial record-keeping
Skilled in cash and accrual basis accounting
Excellent communication and organizational abilities
Advanced proficiency in Microsoft Word and Excel for reporting and data analysis
Ability to handle multiple tasks and prioritize effectively in a fast-paced environment