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Intermediate Accountant

STRIVE Recruitment - 73 emplois

Toronto, ON

Posté aujourd'hui

Détails de l'emploi :

75 000 $ - 85 000 $ / année
Temps plein
Expérimenté

ABOUT US

STRIVE is a specialist recruitment firm offering proactive recruitment solutions in the areas of Accounting & Finance, Corporate Administration, Manufacturing Operations, and Technology. STRIVE supports various clients, from small to medium-sized enterprises to Fortune 500 organizations for their permanent, contract, and temporary recruitment needs.

THE CLIENT

Our client is an established investment management organization with a focus on real estate and a diverse portfolio of assets across multiple markets. The organization works closely with institutional investors and provides investment and asset management services across a range of property types.

With a collaborative, high-performing team and exposure to complex investment structures, this is an excellent opportunity for an accounting professional looking to develop their expertise within the real estate investment sector. They are currently seeking an Intermediate Accountant to join their team.

THE ROLE

The Intermediate Accountant will be responsible for accounting and financial reporting across a portfolio of real estate investments and properties. Working closely with investment, asset management and finance professionals, you will help ensure accurate reporting, timely financial information and strong financial controls.

This role offers exposure to fund-level and property-level reporting, investment performance metrics, budgeting, audit support and process improvement. It's an opportunity to build specialized experience in real estate investment accounting while developing your technical skills within an established investment platform.

RESPONSIBILITIES

  • Prepare monthly property-level financial reports, including income and expense variance analysis, accounts receivable summaries and balance sheet reviews
  • Complete general ledger and intercompany reconciliations, including supporting schedules and analysis
  • Prepare quarterly fund-level financial reporting, including balance sheet analysis, property valuations, income reporting and capital variance analysis
  • Maintain mortgage continuity schedules and leasing reports, including lease expiries, rollovers and vacancy statistics
  • Process invoices, bank deposits, transfers and journal entries
  • Prepare monthly HST/QST returns and coordinate related payments
  • Process monthly and quarterly distributions to investors
  • Calculate asset management fee adjustments and assist with related financial analysis
  • Calculate, analyse and communicate key investment performance metrics, including IRR, TWRR and NAV
  • Upload quarterly investment information to external reporting platforms and reconcile performance calculations
  • Maintain corporate ledgers, balance sheet reconciliations and monthly accruals
  • Support budgeting activities, including reviewing property budgets for accuracy and reasonableness
  • Assist with year-end financial audits and provide supporting documentation
  • Help develop and automate Excel templates to improve reporting efficiency
  • Contribute to ad hoc reporting, analysis and process improvement initiatives

SKILLS & EXPERIENCE

  • 3–4+ years of relevant accounting experience, ideally within real estate, fund administration, investment management, financial services or a similar environment
  • Working toward or holding a recognized accounting designation, such as a CPA, is preferred
  • Bachelor's degree in Business, Finance, Commerce or a related discipline is an asset
  • Experience preparing financial reports, account reconciliations, variance analysis and supporting schedules
  • Understanding of financial reporting at both the property and investment fund levels is an asset
  • Strong analytical and problem-solving skills, with excellent attention to detail
  • Advanced Excel skills, including the ability to develop and improve reporting templates
  • Experience with Yardi or similar property accounting and investment management systems is an asset
  • Strong written and verbal communication skills, with the ability to work effectively with internal stakeholders
  • Highly organized, with the ability to manage multiple priorities and meet tight reporting deadlines
  • A proactive, adaptable approach with the ability to work independently and resolve issues effectively
  • Strong commitment to confidentiality, accuracy and client service

Thank you for your interest in this opportunity! We appreciate you taking the time to apply and will be in touch if your experience aligns with the role.

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