Responsibilities:
- Prepare monthly and quarterly financial packages including financial statements and working papers
- Prepare annual operation and capital budgets and reforecasts
- Monitor and reconcile capital project costs, analyze cash flows and prepare cash distributions
- Prepare CAM and Tax recovery calculations
- Prepare year end audit files with supporting schedules
- Perform month end and recurring journal entries
- Prepare HST reconciliations and returns
- Review and analyze tenant leases
- Perform bank reconciliations, month-end close entries, tax remittances, etc.
Requirements:
- Post-Secondary Degree or Diploma in Accounting, Finance, Commerce or related field of study
- 2+ years of working experience in commercial property accounting
- CPA designation or actively pursuing
- Excellent communication and interpersonal skills
- Highly analytical with a strong attention to detail
- Strong proficiency in MS Excel