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Accounting Manager

Job in Port Saint Lucie, St. Lucie County, Florida, 34592, USA
Listing for: REAL CAPITAL
Full Time position
Listed on 2026-09-27
Job specializations:
  • Accounting
    Financial Reporting, Financial Compliance, Accounting Manager
Salary/Wage Range or Industry Benchmark: 113000 - 138000 USD Yearly USD 113000.00 138000.00 YEAR
Job Description & How to Apply Below

Welcome and thank you for your interest in joining our team!

We’re excited that you’re considering a career with us. At Real Capital, we’re always looking for individuals who bring passion, integrity, and a commitment to excellence in everything they do. This application is your first step toward becoming part of a team that values collaboration, growth, and meaningful impact.

Working for Real Capital definitely has it perks:

  • Comprehensive Benefits – including medical, dental, vision, life, disability, and 401(k) retirement plans.
  • Work-Life Balance Support – paid time off, holidays, sick leave, parental leave, and other forms of protected leave across our companies.
  • Wellness & Lifestyle Perks – employer-funded Lifestyle Spending Account, Employee Assistance Program, and access to voluntary benefits such as pet insurance, accident, and critical illness coverage.
  • Growth & Opportunity – a culture of training, development, and internal promotion, with clear pathways for career advancement!

We look forward to learning more about you!

Accounting Manager Overview

The Accounting Manager supports day-to-day accounting operations with a focus on accuracy, timeliness, and process efficiency. This role assists in managing the month-end close, helps maintain internal controls, and contributes to continuous improvements that support the company’s growth. The position requires a CPA and includes supervisory responsibility over direct reports.

Key Responsibilities
  • Month-End Close & Financial Reporting
  • Assist in managing the month-end, quarter-end, and year-end close processes, ensuring accuracy, timeliness, and adherence to GAAP.
  • Prepare and review journal entries, reconciliations, accruals, and intercompany transactions.
  • Assist in preparing monthly consolidated financial statements and management reporting packages, including P&L, balance sheet, and variance analyses.
  • Ensure financial information is complete and consistent across multiple self-storage locations and corporate entities.
  • Prepaids, and Accruals
  • Manage prepaid amortization schedules and recurring accruals.
  • Prepare and review mark-to-market and other technical accounting entries for senior management approval.
  • Internal Controls & Compliance
  • Support and maintain internal control processes to ensure audit readiness and compliance with GAAP.
  • Work with senior management to ensure adherence to accounting policies and best practices across all locations.
  • Support external audits by preparing schedules, addressing auditor requests, and coordinating responses, as needed.
  • Operational Support & Analysis
  • Support FP&A by providing data and analysis on monthly and quarterly financial performance, variances, and trends.
  • Review and reclassify legal, repair & maintenance, and other operating expenses as needed to ensure accurate reporting.
  • Support tax compliance and local regulatory filings in coordination with external advisors.
Month-End Close Checklist - Expanded Responsibilities

As part of the Accounting Manager role, this position will be directly accountable for executing and reviewing critical month-end close activities to ensure accuracy, timeliness, and compliance. Responsibilities include but is not limited to:

  • Maintaining and posting the Prepaid Other Amortization Schedule and related prepaid amortization entries.
  • Preparing and reconciling schedules for Utility Deposits, Escrow Deposits, and Other Deposits.
  • Managing Financing Cost and Loan Cost roll forward schedules and ensuring amortization is properly posted.
  • Preparing the Accrued Interest Schedule for external loans and posting related principal and interest activity.
  • Maintaining and reconciling the Notes Payable Schedule (Internal), Loan Payable Schedule (External), and SS Mortgages Schedule (including contras).
  • Respon…
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