Hillpointe

Real estate investment management

SeniorPropertyAccountant

$85–115k ~AI est. Winter Park, Florida, United States
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Senior candidates.

The Brief

“Senior Property Accountant at Hillpointe. Skills: Property accounting, Financial reporting, General ledger close. Prepare financial statements and reporting packages. Record and review journal entries”

Industry & Context.

Real estate investment management
Problems you'll solve

Problem-solving skills; Analytical skills

Eligibility Requirements

Sedentary work, Sit for extended periods, Frequent use of hands, View computer screen, Occasional standing, Occasional walking, Occasional bending, Occasional reaching, Lift 10-15 pounds, Occasional site visits, Walking on uneven surfaces

What They're Looking For.

Must Have

Bachelor’s degree in Accounting or Finance, 4+ years accounting property or real estate accounting experience, Proficiency in Microsoft Excel and Word

Nice to Have

Multifamily property accounting experience, Experience with Entrata, Experience with RealPage

What You'll Do.

Prepare financial statements and reporting packages

Record and review journal entries

Review financial statements for accuracy

Manage general ledger close process

Prepare account reconciliations

Prepare balance sheet schedules

Calculate management fees

Review management fees

Calculate reclassifications

Review reclassifications

Assist with audit preparation

Manage cash flow for properties

Anticipate future funding needs

Address potential cash deficiencies

Calculate owner cash contributions

Process owner cash distributions

Perform bank reconciliations

Review bank reconciliations

Resolve outstanding bank items

Oversee critical payments

Review lender escrow accounts

Review reserve accounts

Perform reserve account reconciliations

Collaborate with on-site teams

Collaborate with operations teams

Complete pre-close activities

Complete month-end close activities

Review property-level reports

Ensure timely vendor invoicing

Ensure timely vendor payments

Support annual budgeting processes

Participate in process improvement initiatives

Perform ad hoc financial analyses

Perform ad hoc projects

How You'll Work.

Team & Collaboration

Property management teams; Corporate leadership; On-site teams; Operations team; Internal teams; Management; External partners

Communication Scope

Written communication; Verbal communication

Full Job Description

WHY HILLPOINTE? Hillpointe is a fully integrated real estate development and investment management firm focused on developing market-rate workforce housing across the Sun Belt. Ranked at the top of NMHC's list of Builders and Developers, our team ensures best-in-class execution. Built on its long and proven track record of real estate development, the firm’s investment approach is centered around its in-house general contracting expertise, enabling direct control of cost and delivery timeframe. For each project, Hillpointe directly controls land acquisition, land development, construction, procurement of building materials, asset management, and capital markets. This is more than just a job - it's a career-defining opportunity! At Hillpointe, you'll be part of a dynamic, innovative team that has tangible impacts on day-to-day operations and contributes directly to overall success. Summary: The Senior Property Accountant is responsible for the full cycle of accounting for an assigned portfolio of multifamily properties. This role ensures the accuracy, integrity, and timeliness of all financial reporting and supports the company’s operational and strategic goals. The Senior Property Accountant serves as a key financial liaison between property management teams and corporate leadership, providing advanced accounting expertise, analytical insights, and mentorship to junior accounting staff as needed. Responsibilities: Prepare accurate and timely financial statements and reporting packages for multiple properties. Record and review all journal entries throughout the month, ensuring appropriate documentation and compliance with accounting standards. Review financial statements for accuracy, analyze variances, and provide commentary and recommendations. Manage the full monthly general ledger close process, including account reconciliations and balance sheet schedule preparation. Calculate and review management fees, accruals, and reclassifications to ensure proper accounti

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