Staff Accountant

Midatlantic Employers' Association

Media, PA

JOB DETAILS
SKILLS
Accounting, Accounting Close, Accounting Policies, Accounts Payable, Accounts Receivable, Asset Disposal, Asset Management, Balance Sheet, Billing, Billing Records, Budget Reporting, Budgeting, CAD/CAM (Computer-Aided Design/Computer-Aided Manufacturing), Capital Expenditure (CAPEX), Capital Project, Cash Flow, Cash Management, Code Reviews, Construction, Corporate Policies, Depreciation, Documentation, Escrow, Expense Allocation, Expense Analysis, Expense Reports, Expense Tracking, External Audit, Finance, Financial Analysis, Financial Reporting, Financial Statements, Financial Trend Analysis, Fixed Assets, Forecasting, General Ledger Accounting, Generally Accepted Accounting Principles (GAAP), Income Statements, Insurance, Journal Entries, Loan Review, Loans, Maintain Compliance, Operational Expenditure (OPEX), Operational Support, Organizational Skills, Past Due Accounts, Performance Analysis, Process Development, Process Improvement, Property Insurance, Property Maintenance, Property Management, Property Tax, Real Estate, Reconciliation, Regulatory Compliance, Rentals, Reporting Skills, Tax Reporting, Team Player, Time Management, Trial Balances, Variance Analysis
LOCATION
Media, PA
POSTED
2 days ago

Staff Accountant

Media, PA

(Full Time, Permanent Opportunity)

(On-Site, 5 days per week)

We are seeking a full time, permanent Staff Accountant to join our organization.

Below is a Job Overview which breaks down the various areas of responsibilities by Day, Week, Month, Quarter and Year.

Staff Accountant Task Outline:

Daily Tasks:

Cash Management

  • Review daily bank activity and cash balances.
  • Record cash receipts and tenant deposits.
  • Process ACH and wire transactions.
  • Monitor lockbox activity.

General Ledger

  • Prepare and post journal entries.
  • Review general ledger transactions for accuracy.
  • Investigate unusual account activity.
  • Correct coding errors as needed.

Accounts Receivable

  • Review rent collections.
  • Monitor delinquent tenant accounts.
  • Apply tenant payments.
  • Coordinate with Property Management on collection issues.

Accounts Payable Support

  • Review invoice coding for accuracy.
  • Assist with approval workflow questions.
  • Monitor vendor payment status.
  • Respond to accounting inquiries from vendors and property managers.

Property Accounting

  • Review daily property financial activity.
  • Record tenant billings and adjustments.
  • Monitor utility and operating expense allocations.
  • Track capital expenditure activity.

Account Monitoring

  • Review suspense accounts.
  • Investigate outstanding reconciling items.
  • Monitor prepaid expenses and accruals.
  • Review intercompany transactions.

Communication

  • Respond to requests from:
    • Property Managers
    • Asset Managers
    • Vendors
    • Executive Management
  • Provide financial information as requested.

Weekly Tasks

Bank Reconciliations

  • Complete bank reconciliations.
  • Review outstanding checks.
  • Investigate unreconciled transactions.
  • Resolve banking discrepancies.

Financial Review

  • Review revenue trends.
  • Analyze operating expenses.
  • Compare actual expenses to budget.
  • Investigate significant variances.

Accounts Receivable Review

  • Review aging reports.
  • Follow up on outstanding tenant balances.
  • Coordinate collection efforts.
  • Review bad debt reserves.

Capital Projects

  • Review capital expenditure invoices.
  • Update fixed asset records.
  • Monitor construction-in-progress (CIP).
  • Ensure proper capitalization.

Lease Accounting

  • Review new lease activity.
  • Record lease amendments.
  • Verify rent schedules.
  • Update lease accounting records.

Internal Controls

  • Review journal entries prepared by others.
  • Verify supporting documentation.
  • Ensure compliance with accounting policies.
  • Identify process improvement opportunities.

Month-End Closing Tasks

Close Preparation

  • Review month-end close checklist.
  • Ensure all invoices have been recorded.
  • Verify all rent has been billed.
  • Confirm cash transactions are complete.

Journal Entries

Prepare and post:

  • Accruals
  • Prepaid expense amortization
  • Depreciation
  • Fixed asset additions
  • Interest expense
  • Intercompany entries
  • Payroll allocations
  • Recurring journal entries

Reconciliations

Reconcile:

  • Bank accounts
  • Accounts receivable
  • Security deposits
  • Escrow accounts
  • Fixed assets
  • Prepaid expenses
  • Accrued liabilities
  • Deferred revenue
  • Intercompany accounts
  • All balance sheet accounts

Financial Statement Preparation

Prepare:

  • Income Statement
  • Balance Sheet
  • Cash Flow Statement
  • Trial Balance
  • Property operating statements
  • Owner reports

Financial Analysis

Analyze:

  • Budget vs. Actual
  • Prior Month vs. Current Month
  • Prior Year comparisons
  • Occupancy trends
  • Rental revenue
  • Operating expenses
  • Net Operating Income (NOI)
  • Cash flow

Prepare explanations for material variances.

Fixed Assets

  • Capitalize qualifying expenditures.
  • Record depreciation.
  • Dispose of retired assets.
  • Reconcile fixed asset schedules.

Property Reporting

Prepare reports for:

  • Property Managers
  • Asset Managers
  • Ownership
  • Investors
  • Lenders (if applicable)

Reports may include:

  • Occupancy summaries
  • Capital expenditure reports
  • Cash flow reports
  • Operating variance reports
  • Budget performance reports

Compliance

  • Review loan covenant requirements.
  • Verify escrow balances.
  • Monitor reserve accounts.
  • Review insurance payments.
  • Ensure GAAP compliance.
  • Verify lease accounting compliance.

Close Review

  • Review financial statements for accuracy.
  • Investigate unusual balances.
  • Obtain management approval.
  • Finalize month-end reporting package.

Quarterly Tasks

  • Assist with quarterly financial reporting.
  • Prepare lender compliance reports.
  • Review property tax accruals.
  • Update forecasts.
  • Reconcile CAM (Common Area Maintenance) recoveries.
  • Review tenant reconciliations.
  • Perform internal control reviews.

Annual Tasks

  • Assist with annual audit preparation.
  • Prepare audit schedules.
  • Support external auditors.
  • Assist with annual operating budgets.
  • Prepare year-end journal entries.
  • Coordinate 1099 reporting.
  • Assist with tax reporting requests.
  • Complete fixed asset inventory review.
  • Reconcile year-end balance sheet accounts.
  • Support annual property insurance renewals.

Core Responsibilities Throughout the Year

  • Maintain accurate property-level financial records.
  • Ensure compliance with GAAP and company policies.
  • Support timely and accurate financial reporting.
  • Partner with Property Managers and Asset Managers.
  • Improve accounting processes and internal controls.
  • Maintain complete documentation for audits and regulatory compliance.
  • Deliver financial insights that support operational and investment decisions.


Keyword: Staff Accountant, Property Management finances, Real Estate accounting
Required Experience:

BS Degree in Finance / Accounting

5+ years of proven experience in Property and Real Estate Accounting

Extremely organized, ability to work well with a Team

Deadline driven



Benefits:

We offer a generous salary and a full benefits package


From: Midatlantic Employers' Association

About the Company

M

Midatlantic Employers' Association