| Location | Fort Lauderdale, FL |
This position is hybrid near Miramar, FL.ResponsibilitiesReconciliation and understanding of all balance sheet accounts and produce monthly financial statements and supplementary reporting as requiredUtilize budgets and other tools to analyze variances and reconcile payments applied against major contract valuesMonitor cash positions and anticipate future cash deficienciesOversee and review monthly construction progress claim and development draw requestsMonthly bank reconciliations including follow up and correction of outstanding itemsMonitor and review monthly receivables for accuracy, adjustments, and/or correctionsEnsure all tenant administration duties are processed per documentation as requiredSupply tenant analysis and statements of account as requiredMonitor and review accounts payable coding for accuracyQualificationsDegree in Accounting4 years of accounting experience in real estate and YardiProperty accountant experience is a must, experience in CAM reconciliations#J-18808-Ljbffr