include the following. Other duties may be assigned.
- Prepare quarterly and annual consolidated financial statements along with supporting schedules and footnotes for large multifamily property management company, as well as several real estate asset management advisers.
- Review accounting general ledgers and reconciliations, prepare workpapers, and prepare monthly accounting close.
- Review the cash management reports for each entitys bank accounts and review monthly bank reconciliations prepared by senior and staff accountants. Verify all transactions are recorded correctly and timely.
- Track payments of fees and reimbursements of payroll, insurance,
and other expenses from various funds and properties to each GID adviser entity.
- Process expense invoices and wire requests as needed.
- Prepare annual information for tax deliverables prepared by PwC Tax.
- Document policies and procedures as needed.
- Perform ad hoc duties and projects as required.
EDUCATION and/or EXPERIENCE
- Bachelor's degree (B. A.) in accounting or related field.
- At least 5-7 years of relevant real estate accounting experience and/or training, or equivalent combination of education and experience.
- Certified Public Accountant license or equivalent.
- A background in real estate, consolidation accounting, and/or public accounting is desirable.
- Robust Excel skills and/or experience with Yardi real estate ERP system preferred.
- Strong analytical and technical skills.
📌 REIT (Chennai)
🏢 Enrich & Enlight Business consulting
📍 Chennai
Reply to this offer
Impress this employer describing Your skills and abilities, fill out the form below and leave Your personal touch in the presentation letter.