Property Accountant

Avison Young CanadaCalgary, AB
Onsite

About The Position

Avison Young’s property management accounting group in Calgary is on the search for our next talented Property Accountant to join the Team! In this role, the candidate will become an integral part of our third part property management group completing a variety of accounting and financial reporting responsibilities for different clientele.

Requirements

  • University degree or college diploma in an accounting related field of study
  • Minimum of 2+ years of commercial real estate experience
  • Minimum of 2+ years of full cycle accounting
  • Can work in a fast paced, deadline driven environment and cope with changing priorities
  • Good communication skills verbal and written with the ability to collaborate and build relationships
  • Solid understanding of accounting principles and practices
  • Highly proficient in Microsoft office with an emphasis on Excel
  • Strong technical skills
  • Detailed oriented and strong organizational skills
  • Self-motivated with a positive attitude

Nice To Haves

  • Yardi Voyager experience is an asset

Responsibilities

  • Ensure all financial reporting are delivered accurately and by the due date to your supervisor
  • Full cycle accounting responsibilities for financial statement preparation while ensuring internal controls are followed
  • Complete and maintain straight line rents if Client requires for reporting
  • Prepare journal entries for accruals, payroll, mortgages, leasing fees etc, review general ledgers against budget for accuracy
  • Identify and review old or significantly high accounts receivable balances for allowance setup or bad debt write offs
  • Analyze balance sheet accounts and maintain detailed working papers
  • Prepare and reconcile all CAM/TAX tenant reconciliations
  • Maintain capital project files and amortization schedules
  • Cash flow management and cash distributions to Clients
  • Review and approve bank reconciliations
  • Review and approve payable invoices and coding
  • Prepare all government remittances and ensure all filings are done by the due date
  • Prepare HST reconciliations and returns
  • Prepare management fee reconciliations
  • Assist in the preparation of the annual budget
  • Prepare year end audit files and assist with audit queries
  • Review percentage rent accruals for accuracy
  • Assist with special projects
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