Prepare internal financial statements and investor reporting packages by analyzing information from the accounting system and department heads; Maintain and prepare monthly construction job cost reports and monthly draws; Prepare bank account reconciliations by maintaining and recording files; Prepare payments by accruing expenses and assigning account numbers when needed; Update monthly and/or annual forecasts and projections and prepare annual and/or bi-annual distributions for each property.
Analyze current procedures and recommend changes to develop and implement best practice accounting procedures; Provide accounting support for sales and acquisitions by reviewing financial information; Convert data to general ledger system; Obtain supplementary information for preparing profitability analysis. Update job knowledge by participating in educational opportunities, continued education, participating in professional organizations, etc. Position is Full-time.
We're an equal opportunity employer. All applicants will be considered for employment without attention to race, color, religion, sex, sexual orientation, gender identity, national origin, veteran or disability status.
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