Manage day-to-day activities rela t ed to the Accruals, Variance Analysis, Fixed Asset, Balance Sheet & Income statement Reconciliations
Experience working with construction accounting related to G/L review, loan draw package preparation, job cost set-up, handling development invoices, variance analysis and financial reporting
Experience working with corporate accounting performing month-end close for corporate entities, including accruals, balance sheet and intercompany reconciliations, P&L analysis, and weekly cash management
Ensure accuracy in financial reporting and compliance with GAAP / IFRS
Proficient in utilizing client ERP systems such as Yardi, MRI, and JDE to perform a wide range of property accounting functions.