Senior Accountant
The NRP Group LLCAbout the role
Come join NRP’s A+ team! We’ve been recognized as a “Top Workplace” because we promote a culture where our team can build long-term careers and connections. As we grow as a company, our goal is that you will grow in your career.
NRP has been recognized with several industry awards including Top Workplaces; Best and Brightest Companies to Work For; and National Apartment Association’s Best Places to Work.
We value our employees by offering a competitive benefit package including:
Commission and bonus opportunities
Paid vacation and sick leave
11 Paid holidays
Paid maternity & parental bonding leave
Short & long term disability
Medical/Dental/Vision/Life Insurance
401(k) Match
Training, certification, & growth opportunities
Employee referral & recognition programs
Since its founding in 1994, NRP has been dedicated to building quality homes for our residents, regardless of income. The NRP Group is a full-service multifamily developer, general contractor, and property manager with assets and operations reaching an expanding range of markets nationwide. For additional information, please visit www.NRPGroup.com.
Position Overview:
The Senior Property Management Accountant is responsible for full-cycle accounting and financial oversight of a multifamily portfolio that includes both market-rate and affordable housing communities (LIHTC, HUD, or other subsidized programs). This individual plays a critical role in maintaining the integrity of financial data, supporting audit processes, and partnering cross-functionally with operations, compliance, and asset management teams.
Key Responsibilities:
Financial Reporting & Analysis
Prepare and review monthly, quarterly, and annual financial statements for a portfolio of multifamily properties
Conduct detailed variance analyses and communicate findings to internal stakeholders
Develop and maintain property-level financial forecasts, including cash flow projections and operating performance outlooks
Support annual budget planning in collaboration with property and asset management teams
Ensure accuracy of general ledger activity through journal entries, accruals, and account reconciliations
Manage month-end and year-end close processes with strict adherence to deadlines and internal controls
Affordable Housing Compliance
Monitor financial activity in accordance with LIHTC, HUD, and other affordable housing program requirements
Ensure reporting and documentation comply with investor, syndicator, and regulatory expectations
Coordinate with compliance and operations teams to address program-specific financial questions or reporting needs
Market-Rate Property Accounting
Prepare and deliver accurate monthly, quarterly, and annual financial reporting to capital partners, lenders, and third-party ownership groups, ensuring transparency and consistency.
Manage and analyze cash flow and investor distributions, clearly communicating changes in financial position and providing insight into operational health.
Collaborate cross-functionally and with asset management to support refinancing, sales, and acquisitions, while serving as the primary financial contact for external partners.
Audit & Tax Support
Lead and coordinate annual external audits, including preparation of PBC (Prepared By Client) schedules and audit workpapers
Serve as primary point of contact for auditors, tax preparers, and compliance reviewers
Ensure timely resolution of audit findings and process improvements
Collaboration & Communication
Partner with Property Management, Compliance, and Asset Management teams to ensure financial accuracy and operational alignment
Provide guidance and insight on financials to non-financial stakeholders
Serve as a mentor and quality reviewer for staff-level accountants and peers, helping ensure high standards and timely deliverables
Process Improvement & Controls
Recommend and implement process improvements to enhance accuracy, efficiency, and scalability
Support internal control reviews and ensure proper do
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