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Senior Property Accountant (Hybrid)

Lincoln Educational Svs - Atlanta, GA

Posted Jun 8, 2026

Benefits

Parental leave
Not verified
Non-birth-parent leave
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Family-building benefits
  • Fertility benefits: Not verified
  • Adoption assistance: Not verified
  • Surrogacy assistance: Not verified
Mental health support
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Relocation assistance
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Childcare support
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Learning budget
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Verification
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Salary
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401(k) match
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Market context

U.S. role benchmark (BLS OEWS)
$106,409 U.S. median for this role
Projected growth (BLS Employment Projections)
+7.7% - Faster than average

Matched to SOC 13-2011 - Finance aggregate by role bucket.

Source: U.S. Bureau of Labor Statistics, OEWS, May 2024 and Employment Projections, 2024-2034.

Role

Role function
Finance From the posting source checked Jun 20, 2026
Seniority
Senior From the posting source checked Jun 20, 2026
Work mode
Hybrid From the posting source checked Jun 20, 2026
In-office days
2 days From the posting source checked Jun 20, 2026

Schedule

Shift type
Not verified
Weekend work
Not verified

Application

Cover letter
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Assessment
Not verified
Deadline
Not stated

Where they hire

State eligibility is not yet verified.

About this role

Senior Property Accountant (Hybrid) Atlanta, GA In this critical role, you will assume the role of financial expert for a designated portfolio of our properties, which are often complex in nature. You'll ensure the accuracy and timeliness of monthly financial reporting, working collaboratively with property managers to optimize operational efficiency. Responsibilities : - Complete, review and research property management transactions, including schedule charges and billing adjustments - Review and understand tenant lease language and ensure it is input properly to the designated accounting software - Maintain and review Rent Roll, Tenant Ledger, Aged Delinquency, and Lease Expiration reports monthly - Maintain and review cash/accrual/tax/GAAP based property general ledgers, balance sheets and income statements, including preparing and recording journal entries as needed - Prepare and distribute monthly financial reporting packages, variance reports and all other additional schedules as required by the client - Reconcile all balance sheet accounts and examine all general ledger accounts for accuracy and make corrections as needed monthly - Review and fully understand the CAM Reconciliation process - Work closely with the property management team to create and review annual operating budgets - Prepare monthly construction project draws, review job cost & intercompany reconciliations - Partnership accounting to include reconciliation of administrative service fees, recording of contribution/distributions, and preparation of journal entries for sales or acquisitions - Review AP invoices for accurate coding and proper documentation prior to posting - Review daily Cash Receipt batches for proper documentation and correct application prior to posting - Monitor all

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