Found Description
**Description**:
- Prepares all aspects of the financial statement package for a set of commercial properties, including creating and posting journal entries, general ledger review and completion of back up schedules.
- Partners with property managers to ensure financials are accurate and delivered timely.
- Ensures all expenses, receipts, distributions, funding requests, and other accounting transactions for the period are accurately completed.
- Reviews and audits financial information to ensure compliance with established procedures and accounting principles.
- Responds to and resolves issues and requests from management teams and clients.
- Follows standard policies and procedures to ensure internal and external reporting requirements are consistently met.
- Participates in budget and forecasting functions for assigned property portfolio.
- Serves as the primary accounting point of contact to the clients and property managers for the assigned portfolio.
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- Prepares all aspects of the financial statement package for a set of commercial properties, including creating and posting journal entries, general ledger review and completion of back up schedules.
- Partners with property managers to ensure financials are accurate and delivered timely.
- Ensures all expenses, receipts, distributions, funding requests, and other accounting transactions for the period are accurately completed.
- Reviews and audits financial information to ensure compliance with established procedures and accounting principles.
- Responds to and resolves issues and requests from management teams and clients.
- Follows standard policies and procedures to ensure internal and external reporting requirements are consistently met.
- Participates in budget and forecasting functions for assigned property portfolio.
- Serves as the primary accounting point of contact to the clients and property managers for the assigned portfolio.
*...