Manages all accounting processes for a real estate company.
Handles accounts payable and accounts receivable, bank reconciliation, passes journal entries, reconciles each unit, and enters data into software to ensure financial reporting is accurate and organized.
Prepares Balance Sheet/P&L.
Collects cash and PDC cheques from different locations and enters them in the system.
Bookkeeping & maintaining accounting schedules/records to monthly closure of accounts.
Calculates and verifies commission of staff and agents.
Monitors compliance of agreements with tenants, including the Service Level Agreement with suppliers.
Coordinates the preparation and completes a detailed review of the company’s monthly financial statements.
Requirements
Bachelor's degree in Finance/Commerce/Accounting.
Accounting software experience is a must.
Minimum 4 years of experience in the Real Estate Industry.