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Accounting Manager​/Supervisor

Job in Reno, Washoe County, Nevada, 89501, USA
Listing for: Robert Half
Full Time position
Listed on 2026-08-31
Job specializations:
  • Accounting
    Accounting Manager, Financial Reporting
Job Description & How to Apply Below

Property Accounting Manager

Brad Stewart with Robert Half Finance & Accounting is recruiting for an experienced Property Accounting Manager to oversee property accounting operations for an industrial real estate portfolio based in Reno, Nevada. This role will guide a team of accountants, maintain accurate and timely financial reporting, and work closely with property and asset management partners to support portfolio performance. The ideal candidate brings strong leadership skills, deep property accounting expertise, and a hands-on approach to budgeting, forecasting, reconciliations, and lease-related financial oversight.

Responsibilities:

  • Lead and support a team of property accountants by assigning priorities, reviewing output, providing coaching, and contributing to performance development.
  • Oversee monthly close activities by evaluating accruals, verifying journal entry accuracy, preparing financial reporting packages, and maintaining variance analysis across assigned portfolios.
  • Coordinate invoice approvals through accounts payable workflows, ensuring submitted charges are accurate, complete, and ready for processing.
  • Monitor receivables by reviewing aging reports regularly and following up with tenants or customers to encourage timely collection of outstanding balances.
  • Validate rent rolls, management fee calculations, and third-party fee support schedules before billing to help ensure complete and accurate revenue recognition.
  • Partner with asset management on quarterly reporting needs by preparing financial analysis, variance explanations, and portfolio-level support materials.
  • Prepare recurring forecasting models and assist with annual budget planning in collaboration with property management teams.
  • Manage year-end operating expense reconciliations, including true-ups and other required recovery calculations within established deadlines.
  • Administer property tax tracking by gathering assessment data, supporting appeal coordination, updating forecast assumptions, and helping the team meet payment deadlines.
  • Support acquisitions, dispositions, and lease administration by reviewing closing-related financial details, entering lease information into accounting systems, and confirming amounts due at execution are collected.
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