Description
- Work with Property Managers to develop annual operating budgets, oversee asset performance and review detailed variance explanations, CAM and tax reconciliations and other related period end tenant and vendor billings
- Manage all aspects of loan closings as well as ensure lender required reports for all loans are prepared and delivered on a timely basis, ensuring reporting compliance
- Serve as a trusted information resource and liaison to 3rd party property management firms, accounting/tax professionals, general partner and corporate vendors
- Ensure that the financial accounting is complete, accurate and delivered timely to the corporate officers and accountant. Establish, examine, interpret and analyze complex accounting records for multiple companies
- Ensure balance sheets and income statements for various properties are prepared in an effective and timely basis
- Ensure year-end packages are prepared and delivered for tax
- Ensure all financial processes are effectively managed including but not limited to cash management maintenance and reporting, corporate A/P process and b-monthly check runs for multiple companies
- Oversee all office operations including vendor management, office supplies & equipment and facility
- Ensure all corporate and partnership compliance documents are prepared on a timely basis
Experience
2+ to 5 years
This job is no longer active.