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Validates, audits, and analyzes accounting and operational transactions for lease administration and financial reporting across more than 500 locations. Oversees billing inquiries, invoices, landlord CAM and tax reconciliations, percentage rent payments, escrow updates, and M&A pro rata calculations. Maintains billing records, researches discrepancies, resolves inquiries, supports financial systems, and communicates with landlords, real estate teams, leasing, asset management, and legal partners.