Found Description
Role and Responsibilities
- Analyze data and draft journal entries as needed to maintain GAAP-compliant books and records
- Generate financial reports including balance sheets, income statements and cash flows
- Perform recurring financial-related operational activities including activities such as bank wires, bank reconciliations, balance sheet account reconciliations, and sales tax filings
- Ensure entity compliance with legal documents (e.g., operating agreements) and debt agreements, including activities such as DSCR calculations, withdrawal certificates, and distribution calculations
- Liaise with client personnel as necessary to resolve questions, acquire data and provide customer support for ad-hoc requests
- Exceptional attention to detail and diligent record keeping leading to a successful audit
- Ability to multitask to manage workload and meet requests of clients and FAM leadership team