Senior Property Accountant
Listed on 2026-02-01
-
Accounting
Financial Reporting, Senior Accountant -
Finance & Banking
Financial Reporting
Overview
Responsibilities
Kforce has a client in Bethesda, MD that is seeking a Senior Property Accountant to own end to end accounting for a portfolio of ~20 properties. The Senior Property Accountant will lead monthly closes, manage cash, and deliver accurate financials that tie out to subledgers—while partnering closely with Property Managers to keep operations running smoothly. Duties:
Full-Cycle Accounting & Close:
- Own the monthly close for a portfolio of ~20 properties, including journal entries, accruals, reclasses, and variance analysis
- Prepare income statements, balance sheets, and supporting schedules, ensuring all reports reconcile to the subledgers
- Perform bank reconciliations across assigned entities and resolve reconciling items promptly
- Own the monthly close for a portfolio of ~20 properties, including journal entries, accruals, reclasses, and variance analysis
- Prepare income statements, balance sheets, and supporting schedules, ensuring all reports reconcile to the subledgers
- Perform bank reconciliations across assigned entities and resolve reconciling items promptly
- Oversee daily cash management, ensuring each property is appropriately funded to meet obligations
- Monitor cash balances, initiate transfers, and escalate liquidity needs proactively
- Coordinate and ensure bills are paid on time; collaborate with AP to validate coding and approvals
- Support jurisdictional obligations (e.g., filings, notices, and property/municipal requirements) as applicable
- Partner with Property Managers to review financial results, answer questions, and align on operational needs
- Identify opportunities to streamline processes and strengthen controls
- Work primarily in MRI (required);
Yardi experience is a plus - Utilize Excel (lookups, pivots, and reconciliations) to analyze and present data
- Full-cycle property accounting experience, including monthly close ownership
- Strong knowledge of journal entries, accruals, reclasses, and account reconciliations
- Experience preparing and reviewing income statements, balance sheets, and supporting schedules
- Cash management and bank reconciliation expertise across multiple entities
- Ability to ensure financials tie out accurately to subledgers
- Experience partnering with Property Managers and cross-functional teams
- Proficiency in MRI (required);
Yardi experience a plus - Strong Excel skills, including lookups, pivot tables, and reconciliations
The pay range is the lowest to highest compensation we reasonably in good faith believe we would pay at posting for this role. We may ultimately pay more or less than this range. Employee pay is based on factors like relevant education, qualifications, certifications, experience, skills, seniority, location, performance, union contract and business needs. This range may be modified in the future.
We offer comprehensive benefits including medical/dental/vision insurance, HSA, FSA, 401(k), and life, disability & ADD insurance to eligible employees. Salaried personnel receive paid time off. Hourly employees are not eligible for paid time off unless required by law. Hourly employees on a Service Contract Act project are eligible for paid sick leave.
Note:
Pay is not considered compensation until it is earned, vested and determinable. The amount and availability of any compensation remains in Kforce's sole discretion unless and until paid and may be modified in its discretion consistent with the law.
This job is not eligible for bonuses, incentives or commissions.
Kforce is an Equal Opportunity/Affirmative Action Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, pregnancy, sexual orientation, gender identity, national origin, age, protected veteran status, or disability status.
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