This Controller will be responsible for all of our accounting to include banking, reconciliations, reporting, real estate closings, GL entries, budgeting, etc.
Operations of the general finance area, including Accounts Payable, Accounts Receivable and General Ledger
Banking oversight to include bank deposits and account reconciliation
Month-end/year-end reporting, budget preparation and monitoring
Escrow account transactions to include real estate disbursements and wire activity monitoring.