Experiences:
Manage accounts payable and accounts receivable processes.
Record and reconcile daily financial transactions in AppFolio and Propertyware.
Perform bank and credit card reconciliations.
Process owner distributions and generate owner statements.
Prepare monthly financial reports.
Monitor tenant ledgers and ensure accurate rent postings.
Daily coordination with property managers/Owners/Vendors/and Tenants.
Maintain vendor records, W-9s, and 1099 preparation.
Ensure compliance with company policies and accounting standards.