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.
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.
The successful candidate for the position will play a vital role in the general accounting service group. The functions of this group currently include completion of the monthly close process, including calculating and recording journal entries, reconciling accounts and analyzing monthly costs and results and assisting with other general finance activities as needed.