Preparation of internal as well as external reports related to 1031 exchanges and construction projects - analysis and summarization of data in order to prepare necessary
Will be in charge of maintaining general accounting, profit and loss accounts, and responsible for general ledger, journal entries and preparation of financial statements, bank statement reconciliation, data entry into quickbooks, payroll/1099 reporting, reconciling broker statements, loans and notes payable, excel worksheets. Closing of the books monthly and yearly.
Preparing and handling correspondence, documents and reports. Arrange management schedule by making and confirming travel and appointments,
Needs knowledge of applicable programs such as word processing, Excel spreadsheets and QuickBooks software. Needs to pay attention to detail and have good organization skills. Must be capable of maintaining confidentiality.
This position would be a good back side of career position for a self motivated person with a lot of experience.
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