JBL Asset Management is Hiring an Accounting Associate - Commercial Real Estate Near Hollywood, FL
Job DescriptionFull time career opportunity now immediately available at a rapidly growing real estate asset management company located in Hollywood, FL. JBL acquire, develop, and manage commercial real estate retail shopping centers throughout the country. The company has earned a reputation for integrity and responsibility in the fields of retail property operations and management. The account associate will spend most of their time providing support to our asset management team. Candidates will provide exemplary service in a manner consistent with the values and mission of JBL Asset Management. He or she will perform all responsibilities while demonstrating outstanding customer service skills representative of JBL Asset Management. Successful Candidate will be responsible for the deployment and ongoing service of our channel partners and asset management team, as well as overseeing our entire portfolio of commercial real estate holdings. Primary Duties & Essential ResponsibilitiesAccounts Receivable: Receive tenant checks Deposit checks by writing them up and taking them to the bank or deposit thru remote deposit Post deposits to tenants’ accounts in the accounting software Input new leases & renewals into the accounting software Input billing adjustments into the accounting software Input tenant move out forms into the accounting software Review aging and rent rolls Accounts Payable: Review and Input invoices into accounting software Cut checks once a week for invoices due Process checks and mail out Add new vendors into the accounting software Input new bank accounts into the accounting software Calculate and process management fees Review and process 1099’s annually Financials/GL: Review and complete monthly reports Review and send quarterly reports to Lenders Complete monthly cash flow report Input budgets annually Miscellaneous: Run aging reports and discuss delinquencies with property managers Review and input reconciliations into the accounting software Set up new properties in the accounting software Update loan summaries Filing Assist with audits Assist with additional reports needed by owners Required Skills & AttributesMinimum 2-4 years of property accounting experience 2 Years Of Supervision Experience PreferredAn understanding of all day-to-day property accounting procedures (cash receipts, A/P, etc.) Knowledge of CTI/CAM Reconciliations Monthly report review Accrual/Cash Basis knowledge Cash flow analysis Understanding of loan documents Assist with projections on all properties. Involved in overseeing delinquencies College degree preferred MRI experience Argus Knowledge a plus
Assists with vendor and invoice reconciliation.
Assists Property & Asset Manager with any special requests, i.e. administrative work, mailings.
Monitors and controls Property Management Software System, where applicable.
Input new leases & renewals into the accounting software.
Input tenant move out forms into the accounting software.
Review aging and rent rolls.
Conduct inventory analysis as well as competitive market analysis and pricing / proposals
Communicating with corporate Tenants & Vendors is the majority of the job, and therefore candidate will possess strong confidence
Candidate shall be able to multi-task with the ability to complete all delegated tasks in a timely fashion
Prepare Tenant correspondences
Assist in collection of delinquent rent and other charges
Prepare Tenant account reconciliations and account adjustments
Track and alert Asset Manager & Property Manager of upcoming Tenant rental increases
Maintain and update Tenant information
Maintain and update vendor and contractor lists
Maintain updated certificate of insurance information for tenants and contractors
Collection and data input of Tenant sales information
Maintain updated service contracts for all properties
Code & Process invoices for payment
Prepare drafts of the required weekly reports
Understand and abstract / research Tenant leases
Assist with the preparation and review of common area maintenance reconciliations
May be assigned other duties by the on-site Property & Asset Management.
Any other duties / tasks as directed by the Asset Manager & Property Manager
Mail operations, Opening Mail and scanning document into the system