Property Accountant
$50k - $60kCityPlat
CityPlat, LLC · Raleigh, NC
Full-time · On-site, with hybrid flexibility after 90 days
$50,000 – $60,000 base, commensurate with experience, plus performance bonus
CityPlat is a boutique commercial real estate firm based in Raleigh. We acquire, lease, develop, and manage industrial and flex properties, multi-tenant retail, and net-lease assets across North Carolina and beyond, with an in-house brokerage alongside the ownership platform.
We are hiring a Property Accountant to own the day-to-day accounting operations of our portfolio. It is a hands-on seat with real scope: you will keep the books clean and current across a multi-entity structure and serve as the in-house counterpart to our external accounting firm.
What You'll Do
Bank Reconciliations & Cash
• Perform monthly bank reconciliations across operating, security deposit, reserve, and escrow accounts; research
and clear reconciling items promptly
• Record daily cash activity and monitor balances at the property and entity level
Accounts Payable
• Manage the AP cycle end to end: invoice intake, GL coding, approval routing, and payment runs
• Maintain the vendor master file, including W-9s, insurance certificates, and annual 1099 preparation
Accounts Receivable & Tenant Billing
• Post rent rolls and recurring charges, and maintain charge schedules as leases are signed, amended, or expire
• Apply cash receipts, maintain the AR aging, and drive collection follow-up on past-due balances
General Ledger & Close
• Maintain accurate, current general ledger records across all entities and properties, and execute month-end close
• Support CAM, insurance, and real estate tax billings, estimates, and annual recovery reconciliations
• Track debt service and escrow activity, and prepare property- and entity-level reporting packages
Transaction & Closing Accounting
• Book acquisition and disposition closings from settlement statements, including purchase price allocation and prorations
• Set up new ownership entities and properties in our system as deals close
Brokerage Accounting
• Track commission receivables and process agent and broker commission splits and payouts
• Maintain brokerage trust and escrow account records, including monthly reconciliation
Coordination with External Accounting
• Serve as the day-to-day point of contact for our external accounting and tax team, delivering clean records and reconciliations on schedule
• Support them through month-end, quarter-end, and year-end close, tax preparation, and financial statements
What We're Looking For
• Bachelor's degree in Accounting, Finance, or a related field, or equivalent hands-on experience
• 4+ years of full-cycle or property accounting experience, including direct ownership of bank reconciliations and AP
• Experience maintaining a multi-entity set of books, with a working command of double-entry accounting through the trial balance
• Hands-on experience with a commercial property management accounting system — Yardi, MRI, RealPage, or comparable
• Strong Excel skills and comfort reconciling large system exports
• Attention to detail, consistent follow-through, and the ability to run your own day-to-day
A note on systems: Our books run on Yardi Voyager. Prior Yardi experience is a significant advantage, but if you bring the accounting fundamentals from another commercial platform, we will invest in getting you up to speed.
Benefits
Health insurance · paid time off and holidays · retirement plan · annual performance bonus · professional development support, including Yardi and continuing education
How to Apply
Send your resume and a short note to In your note, tell us about a CAM or operating expense reconciliation you have performed, or the closest equivalent in your experience — that tells us more than a resume does.
CityPlat, LLC is an equal opportunity employer. Employment is at-will.
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