To ensure finance operations for BU account are operating at an optimal level
Assist in establishing strong accounting processes and periodically review and improve existing processes and to ensure compliance with contract requirements, local FRS and US GAAP (revenue and cost recognition) standards.
Reconcile financial data between the inventory system and Workday, ensuring accuracy, completeness, and timely updates.
Learn the finance module within the inventory system, including GL entries, GL codes, and posting processes.
Perform month-end close in the inventory system and extract required reports for subsequent posting into Workday.
Partner with Warehouse and Operations teams to review reports prior to posting and ensure alignment.
Communicate with Admin and Operations teams regarding finance-related matters and provide necessary support.
Track and maintain accurate records of all financial transactions and collaborate closely with Finance teams to finalize financial values and resolve discrepancies.
Assist in overall P&L analysis and to provide commentaries to FP&A team on key variances between budget and actual P&L performance
Develop and implement Standard Operating Procedures (SOPs), financial policies and procedures and ensure compliance with internal controls.
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Cushman & Wakefield is a leading global real estate services firm. As a leader in multifamily property management, we deliver exceptional value through tailored solutions that create efficient and engaging communities. Our passionate approach, strong operational practices and high-performing teams unlock every property’s ability to provide residents with a place they can truly call home.