We are seeking an experienced and detail-oriented Property Accounting Manager to lead the end-to-end management of our Joint Venture (JV) portfolio. This role is responsible for ensuring the accuracy, completeness, and timely delivery of financial reporting while overseeing a team of Property Accountants. The ideal candidate will bring strong financial review expertise, leadership capabilities, and stakeholder management skills to drive operational excellence and continuous process improvement across the portfolio.
Job Responsibilities
Joint Venture Portfolio Management
Manage the complete Joint Venture (JV) portfolio and ensure timely execution of all month-end accounting activities.
Review portfolio performance and ensure financial deliverables are completed accurately and within established timelines.
Conduct month-end review meetings with Portfolio Managers to discuss financial performance, key updates, and outstanding action items.
Financial Review Reporting
Review and validate accounting activities completed by Property Accountants to ensure compliance with client requirements and accounting standards.
Review and approve distribution calculations before submission to clients.
Ensure the accuracy and integrity of financial statements, reconciliations, supporting schedules, and reporting packages.
Operational Excellence Stakeholder Management
Monitor service delivery, identify process improvement opportunities, and implement best practices to improve operational efficiency.
Collaborate with internal and external stakeholders to resolve accounting, reporting, and operational queries.
Support client reviews, audits, and ad hoc financial reporting requirements while maintaining high-quality service standards.
Leadership Team Development
Lead, mentor, and develop a team of Property Accountants through coaching, feedback, and performance management.
Foster a team-oriented, high-performing team environment focused on accountability