To manage all financial operations for our commercial real estate company including business planning, implementation and analyzing financial strengths/weaknesses.
Job Responsibilities:
Oversee the preparation of monthly, quarterly, and annual property and consolidated financial statements.
Approve AP invoices over $1,000.
Manage the budget process, cash flow forecasting, pro-formas.
Oversee the preparation of tenant CAM Reconciliations and current year CAM estimates annually.
Review new deals and oversee underwriting.
Manage investment fund.
Prepare income tax information for third party tax accountant, identify income tax issues and recommendations.
Keep updated with new IRS rules and regulations.
Assist with annual audit.
Manage cost segregation studies.
Add, remove and review fixed asset and depreciation/amortization through the fixed asset software.
Track soft/hard cost accounting to completion and allocation to new fixed assets
Assist as needed with loan tracking, property tax assessment appeals, annual insurance renewals, IRRs, debt and asset sales, investor relations and more.
Work with banking relationships on financing/refinancing of projects.
Assist in the management and review of all employees.
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