14 Aug
|
Oremus
|
Chennai
Perform end to end activities including journal entries, accruals, prepaid, and reclassification. Execute month end and year end close activities.
Prepare and review balance sheet reconciliation and resolve outstanding reconciliation items.
Manage general ledger accounting for assigned US properties
Prepare monthly financial statements and variance analysis
Perform bank reconciliation and cash management activities
Account for fixed assets, depreciation, amortization, and prepaid expenses
Calculate management fees, process billing, and support AR and AP accounting.
Experience in ERP systems such as Yardi, RealPage, Entrata
Excellent verbal and written communication
Proficiency in MS Excel
Must have US client facing experience
📌 Walk-in || US Property Accounting - Record To Report (Chennai)
🏢 Oremus
📍 Chennai