Oversee and manage daily accounting operations for property management portfolios. Prepare and review financial statements, monthly reports, and variance analyses. Handle bank, tenant ledger, and general ledger reconciliations. Ensure full compliance with U.S. GAAP and property management accounting standards. Communicate directly with clients, providing financial updates and addressing inquiries. Collaborate with property managers, owners, and external auditors. Support budgeting, forecasting, and cash flow management. Identify opportunities for process improvement and implement best practices.