Job Description
Responsibilities:
- Reconcile trial balances, general ledger, and partner allocation accounts
- Review waterfall calculations and ensure accuracy
- Perform bank account statement reconciliation and resolve discrepancies
- Review financial statements and workpapers produced by third-party administrator
- Verify partner account statements and resolve any discrepancies
- Work collaboratively with various teams to ensure accurate and timely reporting
- Assist with year-end audit and tax preparation
- Develop and maintain strong relationships with clients, partners, and vendors
- Ensure compliance with regulatory requirements and internal policies and procedures
Are you interested in this position?
Apply by clicking on the “Apply Now” button below!
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