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Property Accountant

Job in Franklin, Williamson County, Tennessee, 37068, USA
Listing for: Envolve
Full Time position
Listed on 2026-07-06
Job specializations:
  • Accounting
    Financial Reporting
Job Description & How to Apply Below

Envolve Client Services Group owns and professionally manages apartment communities located throughout the southeastern United States. We are a company whose success is measured by our residents' satisfaction in making their apartment homes and community a great place to be.

Envolve offers a wide variety of opportunities from residential apartment management, leasing, maintenance and more. We, the Envolve team are recruiting friendly self-motivated individuals with positive attitudes and a drive to succeed, to join our growing company.
We are currently searching for Property Accountants for our Corporate office.

Essential Duties and Responsibilities
  • Prepare and deliver Financial Statement packages for an assigned portfolio of multifamily properties following the quality standards as instructed. Verify correctness of information prior to submission.
  • Prepare Balance Sheet reconciliations and supporting schedules. Analyze the Balance Sheet and Income Statement accounts for accuracy.
  • Prepare and post journal entries to the General Ledger. Review periodic reports of general ledger accounts to ensure accuracy and correct errors prior to close of accounting period.
  • Review and analyze transactions from Accounts Receivables and Accounts Payable to ensure they have been accurately coded and recorded. Work with AP and AR to investigate, resolve and/or report on discrepancies.
  • Research, analyze, identify and explain any variances or unexplained items on the Income Statement and changes on the Balance Sheet.
  • Assist with additional financial reports to be included in the Financial Package as requested by client.
  • Assist independent CPA firms in their audit and review of associations on a year-end, turnover, and/or periodic audit/review.
  • Analyze and post end-of-year audit adjusting entries.
  • Provide assistance and guidance to Property Management by answering questions regarding monthly Financial Statements and other related matters.
  • Prepare various reports as requested.
  • Assist in accounting or operations projects from time to time as requested.
  • Prepare daily and monthly bank reconciliations for assigned portfolio of multifamily properties.
  • Manage cash for assigned portfolio of multifamily properties.
  • Other duties, as assigned.
  • Direct Supervision Required.
  • Moderate supervision and instruction required.
Education and Work Experience Requirements
  • Bachelor's degree required.
  • 1 - 4 years work experience, or equivalent in a related field.
  • Real Estate accounting experience preferred.
Pay Range

$24.03 - $26.44

Benefits
  • Competitive salaries and bonuses
  • Medical
  • Dental
  • Vision
  • 401(k) plan with employer match
  • Short term disability
  • Long term disability
  • Life/AD&D
  • Paid Time Off
  • 11 paid holidays
  • Employee Assistance Program
  • Career advancement opportunities
  • Training and Development

EOE Minorities/Female/Disabled/Veterans

Background Screening and Drug Test Required.

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