In this role, the selected candidate will reconcile monthly credit card accounts with bank statements; create and post journal entries; create and adjust annual budgets and liaise with responsible managers.
The position will also take an active role in establishing sound accounting policy and procedures related to the revenue and disbursement areas as well as responsibility to lead process improvements in related areas.
In this role, you will own the accounts receivable, accounts payable, prepaid expenses, accruals, credit cards, fixed assets, office lease, corporate debt, cash, equity, payroll, intercompany, and commercial loan processes, inclusive of controls and proper GAAP accounting treatment.
In this role, you will provide technical accounting guidance to various company stakeholders across the company to ensure accurate accounting, reporting and disclosure of company's financial statements.
In this role, you will maintain a strong ongoing working relationship with the external audit team in order to work together on accounting issues and foster a continued collaborative team approach to the annual financial statement audit.
This Accounting Manager/Controller opportunity is for the "driven professional" who desires a role where they can make a significant impact and play a leadership role in Accounting and oversee a team of 4 accountants.
The role of the Financial Accounting Advisory Senior Manager includes the execution of complex Financial and Accounting Advisory engagements, building high- performing teams, minimizing risks, and ensuring high- quality accounting advisory services to our clients.
In this role, you will act as an independent adviser to the business, managing and coordinating the relationship with external professional advisers (including auditors, tax advisers, legal counsel), on issues which present a financial, operational or compliance risk for the legal entity or Line of Business.
The Accounting Manager, Property Management will be responsible for the maintenance of the fiscal records, and the preparation of financial reports by investor portfolios and properties including monthly bank reconciliations and maintain the policies and procedures for Property Accounting.