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Accounting Assistant in a Real Estate Investment Company

Description

Creative Financial Staffing has partnered with a well-known real estate investment company to identify an individual with extensive cash management and bank reconciliation experience to join their Corporate Accounting team as a Treasury Specialist.




Highlights of the Cash Management/Treasury Specialist Opportunity:


  • Our client is an established real estate investment/management/development firm.

  • They have over $5B of assets under management in over 85 multifamily communities.

  • They are redeveloping a major neighborhood in the greater Boston area.

  • Foster of culture of giving back – Each employee receives a day off to volunteer at a charity of their choice. Also, Corporate coordinates a number of volunteer and charity initiatives throughout the year.

  • They believe in promoting from within. The current staff accountant has been promoted 3 times since staring and is moving to Asset Management.

  • Employees who live in an apartment owned by the company will receive money off monthly rent.





Qualifications




  • 1-3 years of accounting experience.

  • Experience with assisting in the preparation of financial statements

  • Undergraduate degree in accounting or finance, or experience equivalent

  • Proficient excel skills

Requirements

Reporting to the Corporate Assistant Controller, the Cash Management/Treasury Specialist’s responsibilities include but are not limited to:


  • Perform daily banking duties as needed (wires, ACH’s, JE’s, etc.)

  • Prepare monthly mortgage payments for all entities

  • Prepare and maintain weekly cash forecast schedule

  • Prepare and submit daily positive-pay function for all checks issued

  • Monthly bank fee analysis and billbacks

  • Maintain banking records manually/electronically (bank accounts, authorized signors, etc.)

  • Act as primary contact for all of the company’s accounts at various banks

Job Snapshot

Location US-MA-Newton, MA
Employment Type Full-Time
Pay Type Year
Pay Rate $50,000.00 - $60,000.00 /Year
Store Type Accounting
Other Compensation: 0
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Company Overview

Creative Financial Staffing

CFS is a leading, employee-owned staffing firm—the largest one founded by CPA firms. With more than two decades of experience helping companies locate, attract and hire exceptional accounting, finance & IT professionals, CFS has unique resources to better understand hiring needs, attract higher-caliber candidates and assess candidate potential. Established in 1994, CFS today operates 30+ offices across 21 states and the Caribbean. Serving most major U.S. markets and beyond, CFS connects companies with candidates, from entry-level to executive level, temporary to direct hire and project support to interim management. Learn More

Contact Information

US-MA-Newton, MA
Snapshot
Creative Financial Staffing
Company:
US-MA-Newton, MA
Location:
Full-Time
Employment Type:
Year
Pay Type:
$50,000.00 - $60,000.00 /Year
Pay Rate:
Accounting
Store Type:

Description

Creative Financial Staffing has partnered with a well-known real estate investment company to identify an individual with extensive cash management and bank reconciliation experience to join their Corporate Accounting team as a Treasury Specialist.




Highlights of the Cash Management/Treasury Specialist Opportunity:


  • Our client is an established real estate investment/management/development firm.

  • They have over $5B of assets under management in over 85 multifamily communities.

  • They are redeveloping a major neighborhood in the greater Boston area.

  • Foster of culture of giving back – Each employee receives a day off to volunteer at a charity of their choice. Also, Corporate coordinates a number of volunteer and charity initiatives throughout the year.

  • They believe in promoting from within. The current staff accountant has been promoted 3 times since staring and is moving to Asset Management.

  • Employees who live in an apartment owned by the company will receive money off monthly rent.





Qualifications




  • 1-3 years of accounting experience.

  • Experience with assisting in the preparation of financial statements

  • Undergraduate degree in accounting or finance, or experience equivalent

  • Proficient excel skills

Requirements

Reporting to the Corporate Assistant Controller, the Cash Management/Treasury Specialist’s responsibilities include but are not limited to:


  • Perform daily banking duties as needed (wires, ACH’s, JE’s, etc.)

  • Prepare monthly mortgage payments for all entities

  • Prepare and maintain weekly cash forecast schedule

  • Prepare and submit daily positive-pay function for all checks issued

  • Monthly bank fee analysis and billbacks

  • Maintain banking records manually/electronically (bank accounts, authorized signors, etc.)

  • Act as primary contact for all of the company’s accounts at various banks

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Accounting Assistant in a Real Estate Investment Company Apply now