





Global fund-administration brand and generalist finance processing title increase applicant density.
Core finance reconciliation skills transfer well, but real-estate platform experience adds sector specificity.
No explicit years but requires finance, GL coding and platform skills, so moderate filtering.
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Ensure timely and accurate submission and validation of property management reports and financial data from property managers.
Configure and maintain Chart of Accounts mappings and perform data reconciliation between internal systems and external submissions.
Support invoice review and approval processes, including liaison with vendors for invoice corrections and documentation.
Background in Real Estate Leasing, Property Operations, Finance, Accounting, or Managed Services.
Proficiency in Microsoft Excel and experience with data reconciliation.
Strong analytical skills and attention to detail for identifying data inconsistencies and discrepancies.
Work Experience Required: Not explicitly mentioned in the JD.
Experienced in handling large datasets and managing multiple stakeholder follow-ups in a real estate or financial context.
Familiarity with property management platforms such as Yardi, MRI Software, or similar systems is advantageous.
Knowledge of invoice processing, OCR validation, GL coding, and financial reporting within real estate operations.