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Job Code: 3934748
Job Location: Orlando, FL
Category: Accounting
Industry: Real Estate
Job Type: Contract To Hire
Last Updated: 10/30/2009
Responsible for the preparation of the cash and accrual financial statements for a portfolio of properties including General Ledger month-end close, actual to budget variance review, cash management, audits, bank reconciliations and spreadsheet preparation.
Job Function
-Prepare timely and accurate monthly property financial statements for property portfolio.
-Submit financial statements and work papers in reviewable form (including documentation) and within the proper time frame for review.
-Responsible for cash management of assigned properties, assist with quarterly forecast and budget cash needs.
-Participate in the Accounts Receivable and Accounts Payable functions to ensure proper coding and approvals
-Insure that all bank statements are reconciled on a timely basis and follow-up on all outstanding checks and reconciling items monthly.
- Work with the property manager to finalize and process billings.
-Actively participate in the budget process.
Requirements
-Education B.S. /B.A. in Accounting
-Work Experience 3-5 years real estate accounting preferred.
-Effective working knowledge of Excel and/or other spreadsheet applications, Microsoft office products, real-estate accounting software a plus.