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| Employer Name: BankingandFinanceCrossing |
SpiderID: 2405326 |
| Location: New York City, New York |
Date Posted: 7/30/2008 |
| Wage: |
Category: Banking/Mortgage |
| Job Code: 6932263 |
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Job Description:

Establish and maintain effective financial and accounting reporting systems and controls. Generate and review detailed and written analysis/variance of financial statements Create and review detailed and written analysis for the Real Estate portfolio(s) including cash flow analysis etc. on a monthly basis Develop, document, implement and maintain reconciliation(s) policy and procedures Perform monthly reconciliations of all General Ledger, bank accounts and real estate holdings on a monthly basis or as required Develop, implement, maintain and enhance all financial reporting requirements Develop, implement and maintain capital budgets and help build departmental budgets in conjunction with the strategic plan Maintain a General Ledger chart of accounts, cost center matrix, and bank account listing Train/develop personnel as required in the use of the companies accounting software Maintain a Accounts Payable/Receivable vendor name, address and TIN number file, Establish, implement and maintain Expense policies and procedures Develop, implement and maintain and Accounts Payable Operational Procedure Manual Manage 1099 reports and procedures.
For more information, please click here to visit us at BankingandFinanceCrossing
For further information, please visit us online at http://www.bankingandfinancecrossing.com
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Job Criteria:
Start Date:
Position Type: Full-Time Permanent
Years of Experience Required:
Education Required:
Overnight Travel:
Vacation Time:
Contact Information:
| Contact Name: - |
Company Type: Employer |
| Company: BankingandFinanceCrossing |
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| City: Pasadena |
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| State: California |
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| Zip: |
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Web Site: http://www.bankingandfinancecrossing.com
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