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Key Responsibilities:
- Prepare and consolidate monthly financial statements for multiple entities (real estate, construction, development)
- Manage journal entries, allocations, and reconciliations
- Oversee wire transfers and intercompany transactions
- Support loan draw processes and financial operations related to new development projects
- Ensure accuracy in accounting records and support the CFO as needed
Must-Haves:
- Strong accounting experience, including intercompany transactions
- Proficiency in reconciliations, journal entries, and financial statement preparation
- Excellent communication and organizational skills
Nice-to-Haves:
- Experience with SAGE
- CPA certification
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