Enjoy great quality of life with a hybrid schedule in a world-class asset management room. Prepare financial statements, authorize wire payments, & manage cash flow. Requires CPA, strong Excel/PowerPoint skills, and excellent communication.
Job Detail
Job Description
Responsibilities/Job Duties:
- Preparing monthly balance sheet account reconciliations
- Completing monthly, quarterly, and annual financial statements and supporting documentation
- Authorizing wire payments
- Arranging audit schedules and coordinating with independent auditors
- Keeping tax records up-to-date
- Analyzing general ledger account reconciliations
- Managing company cash flow and bank balances.
Qualifications:
- Advanced knowledge of Excel and PowerPoint
- 4-5 years of accounting experience
- Undergraduate degree in Accounting or Finance
- CPA required
- Good communication skills with colleagues, limited partners, auditors, legal counsel, and banking personnel
- Strong ability to analyze data and desire to improve processes
- ShareAustin:
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