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Robert Half

Senior Accountant

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Job Description

A growing real estate investment and development organization is seeking a Senior Accountant to support the accounting and financial reporting of a diverse portfolio of joint ventures, commercial real estate investments, development projects, and investment entities.

This is an excellent opportunity for an accounting professional with either commercial real estate accounting experience or a public accounting background focused on real estate clients. The role offers exposure to complex ownership structures, investor reporting, capital events, consolidations, and partnership accounting while working closely with Asset Management and executive leadership. If you are interested in learning more about this opportunity email Jim Meade at Robert Half right away or connect with him on LinkedIn.

Why This Opportunity Stands OutExposure to sophisticated commercial real estate and investment structuresWork closely with Asset Management and investment professionalsOpportunity to gain experience with joint ventures, capital events, and investor reportingBroad accounting exposure beyond traditional property accountingCollaborative team environment with strong professional development opportunitiesCompetitive compensation and benefits packageKey ResponsibilitiesFinancial Reporting & AnalysisReview and analyze financial reporting for a portfolio of commercial real estate investments and joint venturesPrepare and record journal entries, account reconciliations, and supporting schedulesPerform variance analysis and investigate financial reporting discrepanciesSupport month-end and quarter-end close processesJoint Venture & Investment AccountingPrepare consolidated financial reporting and partnership reporting packagesAssist with equity method accounting and investment accounting activitiesReview property-level financial reporting and prepare necessary adjustmentsSupport investor reporting and financial statement preparationCapital Events & Treasury SupportAssist with capital calls, distributions, waterfall calculations, and related analysesPrepare reports and schedules supporting debt covenant complianceMonitor cash activity and perform bank reconciliationsAudit & Tax SupportAssist with annual audits and tax compliance processesPrepare audit and tax workpaper packagesCoordinate supporting documentation and respond to auditor requestsProcess ImprovementAssist in the development of accounting policies, procedures, and workflowsIdentify opportunities to improve reporting efficiency, controls, and documentationParticipate in special projects and ad hoc analyses

Benefits

  • Professional Development
  • Dental Insurance