
Detail-oriented Accounting Professional with a B.S. in Business Administration (Finance) and extensive experience in full-cycle accounting for real estate portfolios. Expertise in financial reporting, cash flow management, and GAAP-compliant accounting. Collaborates effectively with property management teams to provide precise financial insights and drive business success.
• Manage full-cycle accounting for two real estate portfolios consisting of 130+ residential and commercial properties, ensuring accurate financial reporting, compliance, and timely month-end close.
• Prepare, review, and analyze monthly financial statement packages, account reconciliations, and supporting schedules to maintain the financial integrity of each property.
• Oversee accounts payable and accounts receivable processes, partnering with property managers to ensure timely vendor payments, tenant billing, collections, and resolution of account discrepancies.
• Manage property-level cash flow, including debt service payments, insurance premiums, owner distributions, and operating reserve requirements while supporting budget and forecasting activities.
• Serve as the primary accounting liaison for two property management teams, collaborating with property managers, tenants, and ownership groups to address financial matters and support operational objectives.
• Assist with annual budgeting, variance analysis, and cash flow forecasting by providing accurate financial data and performance reporting for assigned portfolios.
• Support audit and tax preparation processes by maintaining complete financial records, preparing requested schedules, and responding to auditor inquiries.
Available upon request.