About this role
Sr. Accountant
We are looking for an experienced Senior Accountant to support corporate accounting operations. This role oversees full-cycle accounting for a portfolio of entities, delivers financial analysis and modeling, and helps strengthen accounting processes across the organization. The position also serves as a resource to staff accountants and partners with various other departments. Someone who is a strong team player and leader that excels in fast paced environments will be a great candidate for this opportunity.
Responsibilities
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Manage daily accounting activities for assigned corporate entities and development-related portfolios, ensuring accurate general ledger records and timely processing.
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Prepare and review journal entries, account reconciliations, monthly workpapers, intercompany activity, payable commitments, wire requests, and draw documentation.
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Drive month-end close tasks by completing assigned deliverables on schedule and resolving discrepancies affecting financial reporting.
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Analyze balance sheet accounts, with particular attention to bank reconciliations, and investigate unusual transactions to achieve timely resolution.
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Produce weekly cash needs reports, evaluate payment priorities, and recommend accounts payable disbursements based on operational requirements.
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Review corporate credit card activity and confirm transactions are properly reconciled and recorded.
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Support investor funding and distribution activities, including calculation support, contribution tracking, transfer coordination, and reconciliation of related balances.
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Assist with year-end audit preparation by compiling schedules, preparing financial statements, and organizing supporting documentation for external review.
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Contribute to budgeting, forecasting, tax projection work, payroll and benefits accounting, and treasury-related support as needed.
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Demonstrated experience with month-end close activities in a corporate accounting environment.
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Strong working knowledge of general ledger accounting and financial statement support.
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Proven ability to prepare and review journal entries with a high level of accuracy.
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Hands-on experience performing account reconciliations and resolving variances.
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Solid background in bank reconciliation processes and cash-related analysis.
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Ability to manage multiple priorities independently in a fast-paced setting.
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Strong analytical, organizational, and problem-solving skills with attention to detail.