Perform month-end close procedures for a portfolio of properties with quality and diligence, including journal entries, accruals and reconciliations.
Prepare and analyze monthly financial results and communicate insights on risks and opportunities to Operations.
Partner collaboratively with the Operations team and various support teams.
Support regulatory reporting, claims and inquiries, including annual reconciliation reports and other regulatory reporting requirements.
Support the preparation of annual operating and capital budgets.
Support ad hoc projects and assignments as assigned.
Maintain confidentiality of all data including financial and resident.
系统翻译:
高质量、勤勉地对资产组合执行月末结算程序,包括日记账分录、应计费用和对账。
准备和分析每月财务结果,并向运营部门传达有关风险和机遇的见解。
与运营团队和各种支持团队。
支持监管报告、索赔和查询,包括年度调节报告和其他监管报告要求。
支持编制年度运营和资本预算。
支持临时项目和任务按照分配。
维护所有数据的机密性,包括财务和居民数据。
Minimum Bachelor’s degree in Finance, Accounting, Business, Commerce or related discipline.
Working toward a Chartered professional accounting designation is preferred.
1-2 years’ experience in full-cycle accounting with emphasis on month-end close process Shows initiative and passion for learning Excellent verbal and written English communication skills required.
Detail oriented with strong organizational skills.
Advanced knowledge of MS Office (Word, PowerPoint, Excel) is required.
系统翻译:
至少拥有金融、会计、商业、商业或相关学科学士学位。
正在争取特许专业会计称号者优先。
拥有 1-2 年全周期会计经验,重点是月末结算流程表现出学习的主动性和热情 需要出色的口头和书面英语沟通能力。
注重细节,具有较强的组织能力。
需要掌握 MS Office(Word、PowerPoint、Excel)的高级知识。