Company:
Avison Young
Location: Atlanta
Closing Date: 07/11/2024
Hours: Full Time
Type: Permanent
Job Requirements / Description
Our Story:
Avison Young is a global commercial real estate brokerage and advisory firm, offering transaction, management, financial and consulting services. We’ve designed our corporate structure to best serve our clients by enhancing collaboration across our organization.
At Avison Young, we are committed to providing a comprehensive suite of commercial real estate services to our clients while fostering a supportive and inclusive workplace culture for our employees. Our collaborative approach and emphasis on personal and professional growth create an environment where individuals can thrive. Real estate can have a significant positive impact on people’s lives – and we’re in the business of making spaces and places work better for people. Our purpose is to create real economic, social and environmental value as a global real estate advisor, powered by people.
If you're looking for career opportunities where you can excel and contribute to a strong company culture, we want to hear from you. Join our highly motivated team and take pride in your work as we create a better future together.
Overview:
The Property Accounting Specialist I generally is assigned to a portfolio of projects within our Property Accounting group. General purpose of this job is to support with Accounts Receivable, Accounts Payable and other duties as directed by the supervisory position. The individual will adhere to established policies and procedures ensuring appropriate internal controls.
Responsibilities:
Responsibilities:
Accounts Receivables
Review and post daily cash receipts
Post NSF checks and payment reversals
Run late fee report and process monthly late fees
Run and distribute Tenants’ monthly statements
Prepare monthly rental edits for the Property Managers’ review
Record monthly tenant rental charges
Process security deposit receipts, forfeits, application and refunds
Process open credit refunds and other refunds and apply open credits to charges
Prepare/enter and/or review/post billing adjustments
File A/R activity by project in monthly folders
Review lease abstracts against lease documents and enter into accounting system
Accounts Payables:
Perform data input of approved and coded vendor invoices and check requests
Confirm and approve vendor codes, invoice numbers and invoice dates
Review invoices for Property Manager and Accountant approvals
Run edit report to review accuracy of data entry
Process security deposit refunds
Process manual checks
Process other refunds and open credit reimbursements
Review and approve AP vendor invoices for property number, coding, description and approvals
Cut vendor checks
Match checks with vendor invoices, confirming accuracy of vendor payee and address
Attach remittance to check
Process voided checks
Coordinate with Property Accountant for approval of funds
Coordinate with Property Accountant for release of checks as needed
Coordinate new vendor information with Accounts Payable Manager
File A/P Activity by project in monthly folders
Adding new vendors with receipt of proper documentation. Obtaining missing documentation as necessary.
Assist in year-end preparation of 1099’s as needed
Responsible for ensuring monthly mortgage, land lease, or other recurring monthly payments are processed timely – avoiding any penalties for late payment
Qualifications:
Qualifications:
Accounts Receivables:
Review and post daily cash receipts
Post NSF checks and payment reversals
Run late fee report and process monthly late fees
Run and distribute Tenants’ monthly statements
Prepare monthly rental edits for the Property Managers’ review
Record monthly tenant rental charges
Process security deposit receipts, forfeits, application and refunds
Process open credit refunds and other refunds and apply open credits to charges
Prepare/enter and/or review/post billing adjustments
File A/R activity by project in monthly folders
Review lease abstracts against lease documents and enter into accounting system
Accounts Payables:
Perform data input of approved and coded vendor invoices and check requests
Confirm and approve vendor codes, invoice numbers and invoice dates
Review invoices for Property Manager and Accountant approvals
Run edit report to review accuracy of data entry
Process security deposit refunds
Process manual checks
Process other refunds and open credit reimbursements
Review and approve AP vendor invoices for property number, coding, description and approvals
Cut vendor checks
Match checks with vendor invoices, confirming accuracy of vendor payee and address
Attach remittance to check
Process voided checks
Coordinate with Property Accountant for approval of funds
Coordinate with Property Accountant for release of checks as needed
Coordinate new vendor information with Accounts Payable Manager
File A/P Activity by project in monthly folders
Adding new vendors with receipt of proper documentation. Obtaining missing documentation as necessary.
Assist in year-end preparation of 1099’s as needed
Responsible for ensuring monthly mortgage, land lease, or other recurring monthly payments are processed timely – avoiding any penalties for late payment
Workplace Type:
Hybrid (Minimum 3 days in the office)
Our Equal Opportunity Commitment:
Our Equal Opportunity Commitment
Avison Young is proud to be an equal opportunity employer, committed to promoting diversity and inclusivity within our workforce. Our non-discrimination policy ensures that all individuals are treated equally, regardless of race, gender, religion, sexual orientation, or disability. We believe in fostering a positive and inclusive work environment that values accessibility and fair recruitment practices for all employees. We hope you will join us in committing to create a workplace that is fair, equitable, and welcoming to all.
Benefits offered to full time W2 employees:
Traditional and Roth 401k with generous employer match and immediate vesting
12 weeks of Paid Parental Leave after one year of tenure
Medical, Dental, Vision Insurance
Company paid Life and AD&D Insurance
Company paid Short & Long-Term Disability
Voluntary Critical Illness and Accident Coverage
Healthcare, Dependent Care, Commuter & Transit Pre-Tax Benefits
Wellness program
Employee Assistance Program (EAP)
Work-Life Balance:
Competitive paid vacation days
2 personal/wellness days
Paid holidays plus 2 floating holidays
Annual volunteer day for Day of Giving
Avison Young is a global commercial real estate brokerage and advisory firm, offering transaction, management, financial and consulting services. We’ve designed our corporate structure to best serve our clients by enhancing collaboration across our organization.
At Avison Young, we are committed to providing a comprehensive suite of commercial real estate services to our clients while fostering a supportive and inclusive workplace culture for our employees. Our collaborative approach and emphasis on personal and professional growth create an environment where individuals can thrive. Real estate can have a significant positive impact on people’s lives – and we’re in the business of making spaces and places work better for people. Our purpose is to create real economic, social and environmental value as a global real estate advisor, powered by people.
If you're looking for career opportunities where you can excel and contribute to a strong company culture, we want to hear from you. Join our highly motivated team and take pride in your work as we create a better future together.
Overview:
The Property Accounting Specialist I generally is assigned to a portfolio of projects within our Property Accounting group. General purpose of this job is to support with Accounts Receivable, Accounts Payable and other duties as directed by the supervisory position. The individual will adhere to established policies and procedures ensuring appropriate internal controls.
Responsibilities:
Responsibilities:
Accounts Receivables
Review and post daily cash receipts
Post NSF checks and payment reversals
Run late fee report and process monthly late fees
Run and distribute Tenants’ monthly statements
Prepare monthly rental edits for the Property Managers’ review
Record monthly tenant rental charges
Process security deposit receipts, forfeits, application and refunds
Process open credit refunds and other refunds and apply open credits to charges
Prepare/enter and/or review/post billing adjustments
File A/R activity by project in monthly folders
Review lease abstracts against lease documents and enter into accounting system
Accounts Payables:
Perform data input of approved and coded vendor invoices and check requests
Confirm and approve vendor codes, invoice numbers and invoice dates
Review invoices for Property Manager and Accountant approvals
Run edit report to review accuracy of data entry
Process security deposit refunds
Process manual checks
Process other refunds and open credit reimbursements
Review and approve AP vendor invoices for property number, coding, description and approvals
Cut vendor checks
Match checks with vendor invoices, confirming accuracy of vendor payee and address
Attach remittance to check
Process voided checks
Coordinate with Property Accountant for approval of funds
Coordinate with Property Accountant for release of checks as needed
Coordinate new vendor information with Accounts Payable Manager
File A/P Activity by project in monthly folders
Adding new vendors with receipt of proper documentation. Obtaining missing documentation as necessary.
Assist in year-end preparation of 1099’s as needed
Responsible for ensuring monthly mortgage, land lease, or other recurring monthly payments are processed timely – avoiding any penalties for late payment
Qualifications:
Qualifications:
Accounts Receivables:
Review and post daily cash receipts
Post NSF checks and payment reversals
Run late fee report and process monthly late fees
Run and distribute Tenants’ monthly statements
Prepare monthly rental edits for the Property Managers’ review
Record monthly tenant rental charges
Process security deposit receipts, forfeits, application and refunds
Process open credit refunds and other refunds and apply open credits to charges
Prepare/enter and/or review/post billing adjustments
File A/R activity by project in monthly folders
Review lease abstracts against lease documents and enter into accounting system
Accounts Payables:
Perform data input of approved and coded vendor invoices and check requests
Confirm and approve vendor codes, invoice numbers and invoice dates
Review invoices for Property Manager and Accountant approvals
Run edit report to review accuracy of data entry
Process security deposit refunds
Process manual checks
Process other refunds and open credit reimbursements
Review and approve AP vendor invoices for property number, coding, description and approvals
Cut vendor checks
Match checks with vendor invoices, confirming accuracy of vendor payee and address
Attach remittance to check
Process voided checks
Coordinate with Property Accountant for approval of funds
Coordinate with Property Accountant for release of checks as needed
Coordinate new vendor information with Accounts Payable Manager
File A/P Activity by project in monthly folders
Adding new vendors with receipt of proper documentation. Obtaining missing documentation as necessary.
Assist in year-end preparation of 1099’s as needed
Responsible for ensuring monthly mortgage, land lease, or other recurring monthly payments are processed timely – avoiding any penalties for late payment
Workplace Type:
Hybrid (Minimum 3 days in the office)
Our Equal Opportunity Commitment:
Our Equal Opportunity Commitment
Avison Young is proud to be an equal opportunity employer, committed to promoting diversity and inclusivity within our workforce. Our non-discrimination policy ensures that all individuals are treated equally, regardless of race, gender, religion, sexual orientation, or disability. We believe in fostering a positive and inclusive work environment that values accessibility and fair recruitment practices for all employees. We hope you will join us in committing to create a workplace that is fair, equitable, and welcoming to all.
Benefits offered to full time W2 employees:
Traditional and Roth 401k with generous employer match and immediate vesting
12 weeks of Paid Parental Leave after one year of tenure
Medical, Dental, Vision Insurance
Company paid Life and AD&D Insurance
Company paid Short & Long-Term Disability
Voluntary Critical Illness and Accident Coverage
Healthcare, Dependent Care, Commuter & Transit Pre-Tax Benefits
Wellness program
Employee Assistance Program (EAP)
Work-Life Balance:
Competitive paid vacation days
2 personal/wellness days
Paid holidays plus 2 floating holidays
Annual volunteer day for Day of Giving
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Avison Young