DescriptionBridge Tower is a vertically integrated owner-operator of Single Family and Build-For-Rent communities, delivering over 400 new homes per year. We provide quality homes in both urban infill and suburban areas while managing every stage of the processfrom acquisition and development to leasing and property management.Our accounting team supports a complex portfolio of development entities, operating entities, and joint ventures. We are seeking anAccounting Manager who thrives in a fast-paced environment and enjoys both leading a team and solving complex accounting challenges.Overview:The Accounting Manager oversees accounting operations across a portfolio of development, operating, and joint venture entities, ensuring accuracy, efficiency, and compliance with internal and external reporting requirements. This role manages and supports staff accountants while remaining actively involved in core accounting processes, including month-end close, entity accounting, and financial reporting.Bridge Tower operates with lean, high-performing teams. The Accounting Manager is expected to understand the underlying work, troubleshoot issues when they arise, and step in when needed to keep operations moving.Key ResponsibilitiesMulti-Entity AccountingOversee accounting for a portfolio of development, operating, and holding entitiesManage complex intercompany transactions and reconciliationsEnsure proper accounting for capital contributions, distributions, and inter-entity activitySupport accounting for development projects, capital activity, and new community entities as they are formed.Financial Close & ReportingLead the monthly, quarterly, and annual close processesPrepare and review financial statements for internal leadership and external partnersEnsure reporting accuracy across consolidated and entity-level financialsSupport joint venture reporting requirements and investor reportingAssist with external audits and compliance requirementsTeam LeadershipSupervise and mentor staff accountantsReview journal entries, reconciliations, and financial reportsProvide training and process guidance to ensure consistency across the teamStep in to perform accounting work directly when neededProcess Improvement & AutomationMaintain and improve accounting workflows and templatesTroubleshoot automated processes within Excel and AcumaticaEnsure automation tools and templates continue to function accuratelyIdentify opportunities to improve efficiency and reduce manual workCompliance & ControlsMaintain documentation supporting internal control requirementsAssist with SOX and audit-related documentationEnsure proper accounting treatment across entities and transactionsMonitor adherence to company accounting policiesSystems & Expense ReportingOversee expense reporting workflows, including ConcurCoordinate with internal departments to ensure accurate coding and approvalsSupport integration between operational systems and accounting systemsAdditional duties as assigned.