Job Location: Chennai, India ESSENTIAL DUTIES & RESPONSIBILITIES Prepare and furnish monthly s and reconciliations with stakeholders adhering to policies and procedures inclusive of internal controls Responsible for all billing activities, such as the calculation of management fees and the creation of invoice Assist the supervisor with month-end processes and financial ing as needed Perform cash management functions, initiate and post journal entries, research & resolve issues as needed Analyze expenses and prepare accruals, with a clear understanding of how to calculate and remit sales tax for relevant regions Review and support the accounts payable workflow, along with expense reimbursements. Analyze cash balances and select invoices for payment Performing Accounts receivable aging, reconciliation, and ing Booking and analyzing of fixed assets, depreciation, and prepaid expenses for properties that book on this basis Real-time updation and maintenance of the month-end close checklist Regular communication and monitoring for early identification of escalations in critical activities to reduce any risks Perform monthly general ledger to sub ledger balance sheet account reconciliations, and support general ledger account analysis Prepare audit-related requests and other duties as assigned Formulate detailed process map and documentations(SOPs) EDUCATION Bachelor's Degree in Accounting M.Com, MBA (Finance) specialized in Accounting or other relevant degree Accounting or Finance degree is mandated & accounting certification(s) desired COMPUTER/TECHNICAL SKILLS Experience with ERPs such as Yardi, Entrata, Real Page Proficient with MS Office, PowerPoint, and Visio Familiarity with JIRA, Macros, and Power BI will be added advantage SOFT SKILLS Excellent critical reasoning and quantitative skills Excellent interpersonal, written, and verbal communication skills Proven organizational skills with attention to detail Able to multi-task effectively Strong analytical and problem-solving skills EXPERIENCE 3 to 8 years in a relevant position Experience in multi-family, student housing, and affordable housing property management and accounting
Access Healthcare Service Looking for Senior
₹ Check with seller / month
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Job at a Glance
- Category
- Counter Sales
- Location
- Chennai, Tamilnadu , India
- Salary
- Check with seller
- Job Type
- Full Time
- Company
- Job Location: Chennai, India ESSENTIAL DUTIES & RESPONSIBILITIES Prepare and furnish monthly s and reconciliations with stakeholders adhering to policies and procedures inclusive of internal controls Responsible for all billing activities, such as the calculation of management fees and the creation of invoice Assist the supervisor with month-end processes and financial ing as needed Perform cash management functions, initiate and post journal entries, research & resolve issues as needed Analyze expenses and prepare accruals, with a clear understanding of how to calculate and remit sales tax for relevant regions Review and support the accounts payable workflow, along with expense reimbursements. Analyze cash balances and select invoices for payment Performing Accounts receivable aging, reconciliation, and ing Booking and analyzing of fixed assets, depreciation, and prepaid expenses for properties that book on this basis Real-time updation and maintenance of the month-end close checklist Regular communication and monitoring for early identification of escalations in critical activities to reduce any risks Perform monthly general ledger to sub ledger balance sheet account reconciliations, and support general ledger account analysis Prepare audit-related requests and other duties as assigned Formulate detailed process map and documentations(SOPs) EDUCATION Bachelor's Degree in Accounting M.Com, MBA (Finance) specialized in Accounting or other relevant degree Accounting or Finance degree is mandated & accounting certification(s) desired COMPUTER/TECHNICAL SKILLS Experience with ERPs such as Yardi, Entrata, Real Page Proficient with MS Office, PowerPoint, and Visio Familiarity with JIRA, Macros, and Power BI will be added advantage SOFT SKILLS Excellent critical reasoning and quantitative skills Excellent interpersonal, written, and verbal communication skills Proven organizational skills with attention to detail Able to multi-task effectively Strong analytical and problem-solving skills EXPERIENCE 3 to 8 years in a relevant position Experience in multi-family, student housing, and affordable housing property management and accounting
- Status
- Open & Active
Job Description
Job Location: Chennai, India
ESSENTIAL DUTIES & RESPONSIBILITIES
Prepare and furnish monthly s and reconciliations with stakeholders adhering to policies and procedures inclusive of internal controls
Responsible for all billing activities, such as the calculation of management fees and the creation of invoice
Assist the supervisor with month-end processes and financial ing as needed
Perform cash management functions, initiate and post journal entries, research & resolve issues as needed
Analyze expenses and prepare accruals, with a clear understanding of how to calculate and remit sales tax for relevant regions
Review and support the accounts payable workflow, along with expense reimbursements.
Analyze cash balances and select invoices for payment
Performing Accounts receivable aging, reconciliation, and ing
Booking and analyzing of fixed assets, depreciation, and prepaid expenses for properties that book on this basis
Real-time updation and maintenance of the month-end close checklist
Regular communication and monitoring for early identification of escalations in critical activities to reduce any risks
Perform monthly general ledger to sub ledger balance sheet account reconciliations, and support general ledger account analysis
Prepare audit-related requests and other duties as assigned
Formulate detailed process map and documentations(SOPs)
EDUCATION
Bachelor's Degree in Accounting
M.Com, MBA (Finance) specialized in Accounting or other relevant degree
Accounting or Finance degree is mandated & accounting certification(s) desired
COMPUTER/TECHNICAL SKILLS
Experience with ERPs such as Yardi, Entrata, Real Page
Proficient with MS Office, PowerPoint, and Visio
Familiarity with JIRA, Macros, and Power BI will be added advantage
SOFT SKILLS
Excellent critical reasoning and quantitative skills
Excellent interpersonal, written, and verbal communication skills
Proven organizational skills with attention to detail
Able to multi-task effectively
Strong analytical and problem-solving skills
EXPERIENCE
3 to 8 years in a relevant position
Experience in multi-family, student housing, and affordable housing property management and accounting
ESSENTIAL DUTIES & RESPONSIBILITIES
Prepare and furnish monthly s and reconciliations with stakeholders adhering to policies and procedures inclusive of internal controls
Responsible for all billing activities, such as the calculation of management fees and the creation of invoice
Assist the supervisor with month-end processes and financial ing as needed
Perform cash management functions, initiate and post journal entries, research & resolve issues as needed
Analyze expenses and prepare accruals, with a clear understanding of how to calculate and remit sales tax for relevant regions
Review and support the accounts payable workflow, along with expense reimbursements.
Analyze cash balances and select invoices for payment
Performing Accounts receivable aging, reconciliation, and ing
Booking and analyzing of fixed assets, depreciation, and prepaid expenses for properties that book on this basis
Real-time updation and maintenance of the month-end close checklist
Regular communication and monitoring for early identification of escalations in critical activities to reduce any risks
Perform monthly general ledger to sub ledger balance sheet account reconciliations, and support general ledger account analysis
Prepare audit-related requests and other duties as assigned
Formulate detailed process map and documentations(SOPs)
EDUCATION
Bachelor's Degree in Accounting
M.Com, MBA (Finance) specialized in Accounting or other relevant degree
Accounting or Finance degree is mandated & accounting certification(s) desired
COMPUTER/TECHNICAL SKILLS
Experience with ERPs such as Yardi, Entrata, Real Page
Proficient with MS Office, PowerPoint, and Visio
Familiarity with JIRA, Macros, and Power BI will be added advantage
SOFT SKILLS
Excellent critical reasoning and quantitative skills
Excellent interpersonal, written, and verbal communication skills
Proven organizational skills with attention to detail
Able to multi-task effectively
Strong analytical and problem-solving skills
EXPERIENCE
3 to 8 years in a relevant position
Experience in multi-family, student housing, and affordable housing property management and accounting
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