Property Name:
CorporateDuties:
- Perform financial analysis and interpretation of property financial reports
- Reconcile general ledger accounts and resolve any discrepancies
- Prepare monthly financial statements for assigned properties
- Collaborate with property management teams to ensure accurate and timely recording of transactions
- Maintain balance sheet backup schedules
- Assist with annual audits and tax preparation
- Maintain accurate records of accounts receivable and accounts payable
- Prepare monthly bank reconciliations
- Prepare and remit investor distributions
- Calculate intercompany charge-outs
- Assume additional related responsibilities as required
Experience:
- BBA in Accounting or related field
- Proficient in Microsoft Office Excel and Word
- Familiarity with accounting software, such as Workday and/or ResMan is preferred
- Excellent attention to detail and accuracy in data entry and record keeping to manage financials for multiple entities
- Strong analytical and problem-solving skills
- Team-oriented, deadline-driven individual with strong interpersonal, organization and communication skills
- Knowledge of US GAPP and financial processes
- Two to Three Years Experience
- Professional demeanor and positive attitude
Benefits:
- Competitive salary based on experience level
- Comprehensive health insurance package
- Retirement savings plan with employer match
- Flexible time off and holidays
Core Values:
- Zero Ego
- Energy & Passion
- Good Steward
- Curious
- Obsessive Execution