Accounting professional with 2–3 years of specialized experience supporting U.S.-based clients in the real estate industry. Focused on the review, validation, and analysis of financial data to ensure accuracy, completeness, and compliance. Key responsibilities include:
Reviewing balance sheet accounts and ensuring proper completion
Verifying bank reconciliations across multiple accounts
Analyzing fixed assets and intangible schedules, including depreciation and amortization
Assessing escrow accounts, reserves, loan payables, and interest
Evaluating potential accruals for accuracy and completeness
Reviewing trailing 12-month income statements
Auditing tenant ledgers and coordinating with property management on corrections
Validating general ledger entries to confirm proper income and expense recording
Reviewing recurring and non-recurring expenses to ensure full capture of financial activity
Known for attention to detail, timeliness, and supporting accurate financial reporting to assist in effective property and portfolio management.