In this role, the selected candidate will perform monthly and quarterly financial close tasks to ensure proper cut-off for revenue, assets, liabilities, and expenses; analyze financial data and generate financial reports for management.
In this role, you will be responsible for
timely completion of monthly accounting close for assigned portfolio of properties. Develops productive work relationships with on-site personnel at assigned properties.
In this role, you will be responsible for financial reconciliation, to identify improvements for reconciliation processes, produce daily and ad-hoc reports, work with stakeholders to meet customer's needs, resolve issues in a timely manner, and produce required deliverables.