Prepare financial statements for a portfolio of properties, including General Ledger month-end close, actual to budget variance review, audits, and knowledge of real estate accounting software
Prepare timely and accurate monthly property financial statements for a 3 to 4 property portfolio by deadlines established within Client Accounting Services and by external Client
Prepare additional schedules, which are required to support account balances or are specifically required by owners
Submit financial statements and work papers in reviewable form (including documentation) and within the proper time frame for review
Responsible for cash management of assigned properties
Insure that all bank statements are reconciled on a timely basis and follow-up on all outstanding checks and reconciling items monthly
Maintain a working knowledge of mortgage agreements and management agreements for assigned properties
Assist property manager in responding to tenant and owner requests for financial information
EDUCATION AND EXPERIENCE
Bachelor's degree in Accounting
Minimum 3 years of accounting experience required
Real Estate experience, a plus
KNOWLEDGE, SKILLS, AND ABILITIES
Strong analytical skills, organizational skills
Demonstrated consistency in values, principles and work ethic
Excellent verbal and written communication skills
Computer proficiency with a strong understanding of Excel
Strong attention to detail and proficient time management
Ability to multi-task and the ability to excel in a fast-paced environment
Start a lasting career with JLL today! Total Rewards reflects JLL’s investment in employees’ needs and preferences in Career, Recognition, Well-being, Benefits and Pay. We offer a competitive salary and benefits package. To be considered, please visit our Web site at www.us.am.joneslanglasalle.com/UnitedStates/EN-US/Pages/Careers.aspx to apply online. All resumes MUST BE submitted via our web site. Please reference Job 56577BR #LI