Job Description
Title: Senior Trust Accounting Specialist
ProfitCoach was founded on core Christian values that still guide us as we grow and continue to pursue excellence as property management thought leaders. We are grateful for the unique opportunities we’ve been afforded as a company that have led us on a consistent growth trajectory in our industry, and we are thankful for the amazing clients who have trusted us to come alongside them in their own business journey. Our team thrives in a completely remote work environment through high productivity and an emphasis on coaching and professional growth.
We are looking for A-players, ready to jump into a thriving, entrepreneurially-driven company that has become the leader in our industry. We value people who are honest, coachable, invested, and willing to give their best to their clients and team. We appreciate growth mindsets, courage, candor, gratitude, and the entrepreneurial spirit that define our fully remote team of professionals. We seek new team members who are all in for the next steps of company growth!
The objective of this position is to deliver the ProfitCoach Experience (owning the outcome, ease of doing business, and extraordinary service) to ProfitCoach clients through quality assurance reviews, client relationship and account management that delivers accurate, timely, and efficient full-service accounting, while also maintaining an awareness of the unique needs and profit-growing/stewardship opportunities of each individual client.
- Assume ownership of designated client accounts within 90 days
- Receive training and become a contributor to new client onboardingsÂ
- Be first in line for client calls and client relationship management, even for client accounts not directly assigned to youÂ
- Perform bank reconciliation and general trust accounting clean up work as the point person
- Communicate anticipated time estimates with the clientÂ
- Share progress updates with the clientÂ
- Coordinate other team members for assistance when neededÂ
- Act as an available resource to the team for high level or complex Trust accounting questions that come upÂ
- Triple tie issuesÂ
- Unreconciled transaction review
- Software migrationsÂ
- Schedule with Gustavo a thorough Asana process audit to be completed after initial 90 days is completed
- ADEPT Communication should be displayed in the updating and creation of processes during the process auditÂ
- First in line to learn and train team members on new Trust accounting softwares (ex. RentVine)
Requirements
While other responsibilities may be required within the scope of this position, here is a summary of tasks:Â
- Internal Tasks:Â
- Company and Departmental team meetingsÂ
- Internal email correspondence
- Skill development readingÂ
- Daily task planningÂ
- Task-by-task time trackingÂ
- Trust Accounting Senior Trust Accounting Specialist functions:Â
- PeopleÂ
- Training the team on new or complex processes
- Monitor team performance metrics (Direct Labor Efficiency, Staff Utilization, Staff Hours Budget vs. Actual) alongside the Trust Department Manager
- ProcessÂ
- Function as “first in line” to understand new functions, define the process and train the team to carry out the new processÂ
- Ensure timely completion of all client tasksÂ
- Ongoing process improvementÂ
- Client relationshipsÂ
- Lead and participate in new client onboardingsÂ
- Create spreadsheet and ad hoc tools to make Trust accounting processes more efficientÂ
- Lead and participate in client meetings to discuss accounting and service related questions
- Client email correspondenceÂ
- Create and maintain client communication protocolsÂ
- We have some communication cadences that need to be formalized, such as:Â
- ProfitCoach Retreat communicationsÂ
- Holiday Hour remindersÂ
- PTO heads upÂ
- Start of service on-boarding protocolÂ
- Management of client relationship, including setting and maintaining expectationsÂ
- Overseeing issue resolution alongside Trust Department Manager
- Maintaining “ADEPT Communication” with clients:Â
- Assess the needÂ
- Detail the solutionÂ
- Energize the conversationÂ
- Provide closureÂ
- Tell the truth, alwaysÂ
- FinancialsÂ
- Review and ownership of financial statements, including:Â
- Reconciliation reviewÂ
- Reports (owner statements, P&L, balance sheet)Â
- Other crosschecksÂ
- Accounting functions
- Bank reconciliationÂ
- Financial diagnosticsÂ
- BillingÂ
- Payment processingÂ
- Owner statement processingÂ
- Security Deposit processingÂ
- Other accounting tasksÂ
- Ability to manage client relationships and deliver the ProfitCoach experience (owning the outcome, ease of doing business, and extraordinary service)Â
- Ability to oversee the execution of servicesÂ
- Advanced problem-solving skillsÂ
- Ability to write, improve, and train on new Trust accounting processesÂ
- Bookkeeping experience with a focus on accuracy, timeliness and efficiencyÂ
- Excellent verbal and written communicationÂ
- Proficiency with Microsoft ExcelÂ
- Ability to define and document new processesÂ
- Basic ability to read and analyze financial statementsÂ
- Ability to quickly learn and master new cloud-based software applicationsÂ
- Proficiency with AppFolioÂ
- Proficiency with Rentvine (preferred)Â
Think Abundantly
Own the Outcome
Be Courageous
Leverage Your Talents
ADEPT Communication (Assess the need, Detail the solution, Energize the conversation, Provide closure, Tell the truth always)
If this role sounds like a great fit for you, we’d love to hear from you! Apply today and help us take our business intelligence capabilities to the next level.
Benefits
- Ideal start time: Immediate
- Location: Remote
- Hours of Work: 40-45 hours/week
- Compensation: $55,000 – $60,000 USD
- Salary
- PTO
- Health stipend
Appendix 1Â
This is a detailed list of functions that may be expected for any given client.Â
- Oversight of Functions:Â
- Late fees (to include eviction notices)Â
- Inbox managementÂ
- Owner statementsÂ
- Owner DistributionsÂ
- Entering correcting entriesÂ
- Meeting client deadlinesÂ
- Servicing client nuancesÂ
- Approval of Functions:Â
- Online payables (eChecks, BillPay Checks)Â
- Direct ACH paymentsÂ
- Audit packagesÂ
- Weekly Update emailsÂ
- Ownership of Functions:Â
- Client and team communicationÂ
- Team training and delegationÂ
- Liaison with Corporate department as neededÂ
- 1099s and EOY reportsÂ
- High-level accounting requestsÂ
- Crosschecks to include:Â
- Bank transfersÂ
- Negative balancesÂ
- Journal entriesÂ
- Corporate property activityÂ
- DiagnosticsÂ
- Inbox review for PC ExperienceÂ
- Specific items as required per client
- Administrative Expectations:Â
- Watch for training & delegation opportunitiesÂ
- Own and manage any needed adjustments in process or process improvementÂ
- Own any new ad hoc reporting requestsÂ
- Regularly review client numbers and create/implement plans to keep numbers within budgetÂ
- Prepare and lead department-wide trainings as requestedÂ
- Research and test new software updatesÂ
- Coordinate client clean up projectsÂ
- Coordinate new client on-boarding processesÂ
ProfitCoach was founded on core Christian values that still guide us as we grow and continue to pursue excellence as property management thought leaders. We are grateful for the unique opportunities we’ve been afforded as a company that have led us on a consistent growth trajectory in our industry, and are thankful for the amazing clients who have trusted us to come alongside them in their own business journey. Our team thrives in a completely remote work environment through high productivity and an emphasis on coaching and professional growth.
We are looking for A-players, ready to jump into a thriving, entrepreneurially-driven company that has become the leader in our industry. We value people who are honest, coachable, invested, and willing to give their best to their clients and team. We value the growth mindsets, courage, candor, gratitude, and the entrepreneurial spirit that are defining marks of our fully-remote team of professionals, and want new team members that are all in for the next steps of 10x growth!
https://www.pmprofitcoach.com/careers/