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Property Financial Manager

Job in Denver, Denver County, Colorado, 80285, USA
Listing for: Stream Realty
Full Time position
Listed on 2026-08-08
Job specializations:
  • Accounting
    Financial Reporting, Financial Analyst, Accounts Receivable/ Collections
Salary/Wage Range or Industry Benchmark: 85000 - 120000 USD Yearly USD 85000.00 120000.00 YEAR
Job Description & How to Apply Below

Founded in 1996, Stream Realty Partners (Stream) began with a vision. Not one focused on bricks and mortar, but with people at its foundation. Headquartered in Dallas, TX and operating in core markets coast to coast, we complete billions in annual transactions in office, industrial, retail, healthcare, land, and data center properties. With millions of square feet of assignments, Stream is one of the fastest-growing, full-service commercial real estate services organizations in the country.

Our team of talented individuals have come together to create our distinct culture, best summarized by our firm’s core values: smart, honest, nice, and passionate. For more information,  and follow Stream onLinked

In ,Instagram ,X and Facebook .

IMMEDIATE IMPACT. MEANINGFUL CAREER.

At Stream, we know our success begins and ends with our people. It is the reason we work hard to attract and retain the best and brightest talent. From day one, you will be an integral member of our high-caliber, collaborative team. We will empower you to apply your energy, expertise, and creativity to meet our client’s needs while instilling you with unsurpassed market knowledge and development opportunities to succeed.

When you join Stream, you won’t simply start a new job—you will build a meaningful and impactful career.

Job Description

POSITION OVERVIEW

The Financial Manager position provides support to the Property Management team and acts as a liaison between Corporate Accounting and local Property Management teams. Day-to-day activities includemonitoringthe financial performance of the assets, budgeting, forecasting, and reporting. Depending upon the portfolio needs, this position may have supervisory responsibility.

PRIMARY RESPONSIBILITIES

  • Review and approve monthly accruals, AR reviews, CAPEX Distributions, AR batches, monthly rent-ups,and commercial billings.
  • Review and approve lease abstracts/profiles and enter OPEX recovery set ups in accounting system-Lease Administration
  • Review andfinalizemonthly variance reports and rent rollreconciliation.
  • Review GL for consistency and accuracy andsubmitreclass entries.
  • Review and reconcile tenant security depositledgers.
  • Address CAM reconciliation inquiries from tenants
  • Overseeingprocess for tenantaudits.
  • Complete annual budgets,reforecastsand OPEreconciliations.
  • Address client questions concerning budgets, financials, CAM recoveries and provide custom reports as per client requests.
  • Prepare complex tenant account ledger reconciliations toassistthe property management team in collection efforts.
  • Provideback-upsupport toProperty

    Manager for invoiceapprovals.
  • Coordinate andassist

    Accountants in final settlements with Seller/Buyer in propertytransitions.
  • Research and handle accounting related issues/questions from internal Accountants as well as Clients
  • Follow and ensure teamSOC Icomplianceforapplicableassets.
  • Provide accounting software relatedmentoring,training,and support to the Property Management team.
  • Special Projects/Tasks: may be assigned toassistwith special projects for the assigned portfolio.
  • Problem Solving:
    Complex items are handled with supervision/guidance (Ex. TI Overages, Complex Termination Fee calculations, complicated billbacks, etc.).
  • Ownership:
    Be proactive throughout the month; ensure that any unique transactions/situations on your team are resolved throughout the month. Ensure that all internal/external deadlines are being met by team members that you supervise.
  • Teamwork:helps solve problems, finds efficiencies, shares knowledge, and actively seeks opportunities to help.
  • Takes responsibility for their assigned tasks/portfolio; others do not have to step into complete tasks. Self-motivated and does not need to beassistedand/or directed to complete responsibilities.
  • Financial Reporting:
    Must have a good understanding of the clients’ financial reporting process including accruals, general ledger reviews, leasing reports, executive summary reports, andvariancesreports.
  • Financial Reporting:
    Ability to complete all aspects of clients required financial reporting.
  • Budgets:
    Understanding of variances effect on property cash flow and tenant estimated billings.
  • Insurance - ability…
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