Primary Purpose of Position: Manage, audit and analyze all financial matters related to assigned portfolio. Serve as the financial expert and primary facilitator of all financial matters for assigned properties. Essential Functions: Responsible for the quarterly close process, including preparing supporting schedules and generating reports for audit binders. Oversee client accounts to ensure they are billed correctly each month for all rental and additional charges per their lease and investigate and resolve all discrepancies. Analyze and prepare quarterly Tax and GAAP financial statements, including all supporting schedules as scheduled. Present formal revenue and expense variance explanations in the VET tool on a quarterly basis in conjunction with property management. Perform analysis and develop financial reports and related schedules in accordance with lender and/or third party requirements. Analyze and prepare client operating and real estate tax escalations for assigned properties' monthly payment and annual true-up. Audit accuracy of various databases, such as Lease Tracking, BP Loan Summary, Rent Roll, and Lease Abstract, for assigned portfolio. Communicate with property management to assist with preparation of portfolio annual budgets and quarterly re-forecasts. Work with Lease Administration, Accounts Receivable, Accounts Payable, Tax, Finance and Legal Departments to obtain necessary information for the completion of financial statements. Perform required analysis and develop external reports for compliance with all agreements (sales & use returns, I&E forms etc.). Audit and prepare reconciliation of all accounts (i.e. work orders, etc.). Examine and comprehend all management, development, joint venture agreements and mortgage documents for assigned properties. Analyze and prepare depreciation on a monthly basis. Provide VP, Regional Controllers and all other BXP personnel with the highest level of service. Manage, analyze and interpret leases. Enter all required information into Expense Participation Work with financial reporting in regards to complex transactions. Compile supporting documentation for client audits.
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Job Type
Full-time
Career Level
Mid Level
Industry
Real Estate