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Staff Accountant - Johnston Iowa
Company: BH Location: Johnston, Iowa
Posted On: 02/07/2025
Job Details Level Experienced Job Location Des Moines IA Area - Des Moines, IA Remote Type Hybrid Position Type Full Time 30-40 hours per week Education Level 4 Year Degree Salary Range $27.00 - $31.00 Hourly Job Category Accounting Description At BH Management Services, we are committed to creating value. We acquire, improve and manage apartment communities, and our success in this endeavor is evidenced by our growth from a start-up firm in 1993 to one of the largest multi-family management companies in the nation. BH understands that great customer service is what keeps residents satisfied, and that great service comes from engaged, happy and well-trained team members. In 2018 and 2017, BH was ranked as one of FORTUNE magazine and Great Place to Works "Best Workplaces for Women." BH was also ranked in 2018 and 2020 as one of the "Best Workplaces for Millennials. In addition, in 2019, BH was named to the 100 Best Workplaces for Diversity. We continue to recognize that we are only as strong as each individual employee and we value our employees by providing a strong benefit package: - 3 Weeks of Paid Time Off
- Medical/ Dental/ Vision
- 401(k) + company match
- Birthday Paid Day Off
- BH Gives Back (Paid Volunteer Time Off)
- 13 Paid Holidays
- BH Paid Leave
- Sabbatical
- Education Reimbursement
- Employee Assistance Program
Job Qualifications The Staff Accountant is responsible for analyzing financial and operating data, conducting account reconciliations and ensuring the accuracy of the general ledger for a portfolio of multifamily rental properties. Essential Job Functions: - Responsible for portfolio of multifamily rent properties; analyzing general ledger activity to ensure revenue and expense are correctly recognized and prepared in agreement with the client requirements and the applicable accounting principles.
- Applies independent judgement in preparation of monthly financial statements for the assigned portfolio to ensure an accurate representation of the companys financial position; including but not limited to closing entities books on a monthly basis, preparing journal entries, balance sheet and income statement analysis and reconciliation.
- Manages cash position of portfolio; calculating distributions per client requirements, committing cash to approved payables and communicating any cash deficits for funding.
- Manages capital escrows, verifying repairs are completed on a timely basis, and submitted per terms of loan agreements.
- Completes bank reconciliations on a monthly basis and assists in the detection/correction of adjustments in a timely manner. Minimum Qualifications/Skills:
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