Job Description
About the Company
Our client is a company that acquires, develops, and operates parking facilities and industrial properties across North America.
Responsibilities
- Assist with quarterly and annual financial reporting for a publicly listed organization.
- Perform account reconciliations, accrual reviews, and discrepancy investigations across multiple asset and liability accounts.
- Support accounts payable/receivable processes and ensure accurate coding and reporting.
- Contribute to budgeting, forecasting, and cash flow analysis.
- Partner with operations teams on budget reviews, tenant reporting, collections, and cost optimization initiatives.
- Support audit processes, investor reporting materials, and continuous improvement of accounting procedures.
Qualifications
- 3+ years of full‑cycle accounting experience, including financial reporting, reconciliations, AP/AR, and budgeting.
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