Duties and Responsibilities:
- Handle full accounting cycle for a portfolio of residential real estate properties
- Coordinate with accounts payable/revenue accountant/operations to ensure monthly cutoff procedures are in effect for payables and revenues
- Prepare monthly bank reconciliation and reconciliation of control accounts (accounts receivable, accounts payable, last month's rent, LMR interest) to subsidiary ledgers, intercompany balances, schedules of balance sheet accounts
- Prepare monthly reporting packages (financial statements, actual to budget analysis, operations report, balance sheet analysis), analysis of variances to budget
- Ensure accounting policies and procedures are followed
- Prepare and filing of HST returns on a prompt basis
- Prepare annual budget package including co-ordination with other departments for receipt of budget data on a prompt basis
- Prepare annual year end audit working papers and liaison with the auditors during the field work period
- Maintain various books and records and files
Requirements:
- Bachelor's degree in Accounting with experience in Property Management
- CPA designation, equivalent or working towards it
- Proficient excel skills; Yardi Voyageur systems an asset
- Self-directed and takes initiative
- Able to work in a fast-paced, challenging environment
- Punctual communication skills, verbal and oral communication skills
- Prioritization and time management skills
- Detail oriented
MetCap Living Management Inc. is committed to accommodating applicants' needs in accordance with the Accessibility for Ontarians with Disabilities Act (AODA) and under the Ontario Human Rights Code throughout the selection process. If you require disability--related accommodation to participate in the recruitment process, please email us.