• Property Accountant

    Job Locations US-FL-Orlando, FL
    Posted Date 1 month ago(8/12/2019 2:22 PM)
    Job ID
    2019-1659
    # of Openings
    2
    Department
    Accounting
  • Company Info

    Bridge Investment Group is a leading privately held real estate investment and property management firm with over $13 billion in assets under management. Bridge pursues investment opportunities in targeted real estate sectors that offer attractive returns including current income and capital appreciation.  Its real estate activities encompass the acquisition, financing, property management, optimization and disposition of real assets and CRE-backed fixed income securities. The Company operates in five targeted verticals; multifamily, office, seniors housing, opportunity zone investments and CRE-backed fixed income, and has specialized investment teams focused on each of these areas to generate above-market returns for its investors.

    Bridge Culture

    Bridge is well-regarded for its high integrity and collaborative leadership culture that rewards both individual thinking and team decision-making.  Our leadership are seasoned professionals who bring their vast experience and high standards of excellence to their work.

    Given our horizontal scope and vertical integration, Bridge professionals are empowered to work across functional teams. As a result, they are deeply specialized and highly versatile with a clear understanding of how their roles fit into a broader context.

    Our leaders’ value career development and take seriously the role they play in developing next generation leaders.  Bridge professionals embody accountability and seek to deliver high-quality results through creativity and innovation. 

    Position Info

    Provide full accounting support to each assigned property.

     - Provide assistance to property personnel with regard to processing in the accounting system and handling accounting issues.

     - Take ownership and complete the closing of each property on a monthly basis to include:

    • Prepare accrual journal entries as deemed necessary.
    • Reconcile and maintain a detail, using a spreadsheet or the accounting system, for all balance sheet accounts that agrees to the general ledger
    • Review income and expense accounts for material variances from budget and understand the fluctuations.
    • Generate Balance Sheet, Income Statement, Cash Flow Statement, and any other required reports for all properties.
    • Perform a self-review and obtain a Property Manager review and internal review of financial statements prior to issuance internally and/or externally.
    • Close the ledger.
    • Send financial reports to third parties as deemed necessary.

    Qualifications

    Bachelor's in Accounting.

    2+ years of related experience.

    Possess the ability to explain and communicate accounting or system issues.

    Possess the ability to learn, understand, and apply Generally Accepted Accounting Principles with a high degree of accuracy and consistency.

    Options

    Sorry the Share function is not working properly at this moment. Please refresh the page and try again later.