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Property Accountant

Job in San Francisco, San Francisco County, California, 94199, USA
Listing for: TNDC
Full Time position
Listed on 2026-06-26
Job specializations:
  • Finance & Banking
    Financial Reporting, Accounting Manager, Accounts Receivable/ Collections, Financial Analyst
  • Accounting
    Financial Reporting, Accounting Manager, Accounts Receivable/ Collections, Financial Analyst
Salary/Wage Range or Industry Benchmark: 78696 - 85640 USD Yearly USD 78696.00 85640.00 YEAR
Job Description & How to Apply Below

TITLE: Accountant - Property

REPORTS TO: Associate Director of Accounting-Property Management

DEPARTMENT: Accounting

STATUS: Full-time

FLSA STATUS: Exempt

WAGE RANGE: $78,696 - $85,640 annually

GRANT FUNDED: No

UNION POSITION: Yes

LOCATION: 145 Taylor Street, San Francisco CA 94102

SCHEDULE: Hybrid 3 days onsite; 2 days remote

Summary

Under the direct supervision of the Associate Director of Property Accounting, the Property Accountant is responsible for full‑cycle accounting of a portfolio of properties. This includes all rental transactions, month‑end closing, general ledger account analysis, reconciling inter‑fund accounts, reconciling bank accounts, performing internal audits, preparing audit schedules and other related accounting duties of the organization.

Essential Duties Financial Operations & Reporting
  • Perform full‑cycle accounting for a portfolio of properties, including all revenue, expense, and general ledger activities
  • Prepare timely and accurate monthly, quarterly, and annual financial statements and variance analyses
  • Complete month‑end and year‑end close processes, ensuring adherence to established deadlines and reconciling schedules
  • Prepare and submit required financial reports to lenders, regulatory agencies, and other external stakeholders
Accounts Receivable & Tenant Accounting
  • Oversee accounts receivable functions, including tenant billing, subsidy postings, and rent collections
  • Reconcile tenant sub‑ledgers and ensure alignment with the general ledger
  • Review and post rent payments, including electronic and check‑based transactions (e.g., Yardi Checkscan)
  • Monitor tenant accounts and aging reports; research and resolve discrepancies
  • Track resident move‑outs and ensure accurate, timely processing of security deposit refunds in compliance with regulations
Reconciliations & General Ledger Management
  • Prepare and review monthly bank reconciliations and resolve outstanding items
  • Reconcile all general ledger accounts, including intercompany/inter‑fund accounts, on a monthly basis
  • Prepare and post journal entries with clear documentation and audit trails
  • Ensure financial data integrity across systems and reports
Compliance, Controls & Audits
  • Ensure compliance with internal policies, procedures, and internal controls, and with affordable housing regulations (e.g., LIHTC, HUD, or other applicable programs)
  • Perform periodic internal audits to assess accuracy and compliance
  • Prepare audit schedules and support external auditors during annual audits
  • Ensure internal financial statements align with audited financial statements
Collaboration & Cross‑Functional Support
  • Partner with Property Management and Leasing teams to ensure accurate rent rolls, occupancy data, and billing
  • Produce and present financial statements and other key reports to Housing Development team for new properties
  • Collaborate with Asset Management on financial performance, budgets, and operational insights
  • Provide financial data and support for grant reporting, lender compliance, and regulatory submissions
  • Serve as a key accounting liaison to Property Management and provide guidance or training on financial systems (e.g., Yardi)
Cash Management & Analysis
  • Monitor property‑level cash flow and ensure proper recording of intercompany transactions
  • Assist in identifying cash needs, funding requests, and operational variances
  • Support budget tracking and financial performance analysis
  • Contribute to process improvements and system efficiencies within the accounting function
  • Maintain organized and complete financial records and documentation
Qualifications Required Skills
  • Proven ability to follow directions and work independently.
  • Proven ability to efficiently reconcile balance sheet accounts.
  • Excellent interpersonal and organizational skills.
  • Ability to create various financial reports, identify unusual activities, and propose corrections.
  • Knowledge of double‑entry accounting, financial statement preparation and account analysis
  • Strong understanding of monthly close procedures
Physical Requirements
  • Ability to operate office equipment such as personal computers and calculators.
  • Ability to coordinate eyes, hands, and fingers in performing word processing, writing, reading, and…
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