Accounts Payable Specialist

River Oaks PropertiesEl Paso, TX
10dOnsite

About The Position

Founded in 1959, River Oaks Properties is a national owner of retail properties, with a primary focus on El Paso, South Florida, and other markets across the country. Our success is driven by strategic investments in high-traffic, rapidly growing areas, a steadfast commitment to quality construction, and a proactive approach to property management. With a portfolio of over 190 properties, we have earned an unparalleled reputation for excellence in commercial real estate. Our in-house teams specializing in construction, accounting, property management, and leasing enable a fully integrated and efficient approach to property development and operations. For more than six decades, we’ve built long-term investments that support the growth of local communities and foster strong, lasting partnerships with both regional and national businesses.

Responsibilities

  • A/P entry on daily basis and tracking of monthly payables
  • A/P set up and maintain activity and balances on green ledgers in A/P files (security, insurance, equipment rental, bookkeeping, disposal services, pest control, plant maintenance, landscaping, property tax consultant, security service, elevator maintenance, postage, office, rent, etc.)
  • A/P coding, taping and verification to contract service price, work order, approved proposals or Owner authorization
  • A/P timely check preparation in accordance with the A/P procedures (weekly; EOM/FOM recurring administrative payables and on as-needed basis)
  • A/P research and resolve internal documentation/approvals
  • A/P process security deposit refund checks
  • A/P process voided checks
  • A/P update, reconcile to Lease charges and process monthly recurring commission payables to outside brokers
  • A/P bi-monthly processing of legal bills. Provide files and legal bills to the construction department when applicable.
  • A/P set up new vendors, request W9 from vendors and updated database with tax id’s
  • A/P assist in annual 1099 preparation
  • J/E reclassifications
  • N/P process recurring Note payments and assist with Mortgage Payable function in database
  • N/P reconciliation to lender statements and P&I calculations
  • N/P assist with P&I and escrow updates in database on all Notes
  • N/P assist with maintenance of monthly/quarterly/annual mortgage schedules
  • N/P assist with transmission to all lenders on a timely basis per lender requirements
  • Coordinate with accounting staff, copying, scanning, attaching CAM documentation into database and filing of all completed items daily
  • Review of scanned/attached payables and backup
  • Filing – set up new vendor files annually and on an on-going basis throughout the year
  • Assist with CAM billing documentation, copies, mailings and filing
  • Special accounting and administrative projects as needed and when assigned
  • Assist front desk during lunch hour when scheduled, answer phone & direct calls, entering leads into Leasing Manager, receive payments, greet and direct clients/visitors/vendors per ROP Reception Script.
  • Handle special projects assigned by Vice President of Finance or other Accounting Managers
  • Daily shredding
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