A bit about us :
Privately held real estate investment firm that is growing rapidly and has found a niche in alternative asset classes with nearly 100 properties in their portfolio across the country totaling almost $2 Billion in AUM.
Why join us?
- We strive to constantly improve our people, our processes, our products, our services, our industry
- We value hard work, but not at the expense of our families and our personal lives
- We value health and healthy lifestyles
- We value a relaxed and comfortable work environment
- We all have big corporate backgrounds, but we strive to leave the negatives of the corporate
Job Details
Job Duties :
- Provide various treasury management functions (cash transfers, wire approvals, etc.) on a timely basis
- Book and maintain books for multiple properties across the United States
- Directly interact with vendors, clients and third parties in a professional manner
- Provide and oversee Accounts Receivable and Accounts Payable functions
- Preparation of financial analysis (margin, receivables, payables, statistics etc.)
- Assist with month-end financial reports, investor reporting and management reporting
- Assist with recording transactions, balance sheet reconciliations and bank reconciliations
- Work on yearly forecasting and budgeting efforts
- Maintain and analyze spreadsheets to report progress or additional data requirements needed
- Improving and contributing new ideas and efficiency for all our properties
Requirements :
- Bachelor’s degree in Accounting, Finance or similar
- 2-5 years of accounting experience
- Active CPA license is preferred but not required
- Data accuracy with ability to process large volumes
- Attention to detail and accountability for accuracy
- Sound problem solving skills
- Proficiency in Microsoft office (Excel)
- Exposure to Intuit QuickBooks, Rent Manager or Yardi is a plus
- Ability to be flexible and change priorities as needed
13 days ago