In this role, the selected candidate will be primarily responsible for managing and leading this accounting & tax practice; this company works with their clients to manage their bookkeeping, financial reporting and tax planning & preparation.
In this role, the selected candidate manages and oversees the day to day accounting operations of the Investment Accounting team under the direction of the Director of Investment Accounting to include managing the close process, reviewing journal entries and account reconciliations.
In this role, the selected candidate will ensure accurate and timely minthly, quarterly and year end internal financial reports. Assist controller. Supervise Senior Accountant, Accountant, and Accounts Payable administration staff.
In this role, the selected candidate manages and oversees the day to day, monthly, and quarterly global accounting operations for derivatives and other complex assets under the direction of the Director, Investment Accounting to include: managing the close and reporting process for hedging programs and other complex assets, reviewing journal entries and account reconciliations, and providing thorough reporting and analysis needs to management and other business partners.
This position is responsible for preparing financial statements and assists Community Managers with Accounting related questions and concerns. Property Accounting Supervisor works closely with other team members within the Department and the Company to obtain and/or provide the financial information as necessary.
In this role, you will be responsible for reviewing all applicable non-technical journal entries and reconciliations for appropriate accounting, evidence and understanding of all supporting evidence against stated policy and procedure Designing that policy and procedure where applicable for non-technical accounts Review and analysis of all non-technical accounts through variance analysis by account type.
In this role, the successful candidate will be responsible for the review, approval and posting of daily deposits, cash management entries and general ledger transactions created by direct reports into the finance system.