This role involves overseeing a team of property accountants responsible for managing 50-60 units, while training and developing the team to meet business needs, setting performance goals, and providing regular feedback. Key responsibilities include coordinating monthly close activities, managing cash balances and forecasts, assisting with treasury operations, and liaising with internal teams to develop best practices and ensure compliance with financial policies. Additionally, the role includes managing banking relationships, coordinating audits, contributing to process improvements, staying updated on accounting regulations, and providing financial insights to senior management.