Overview
SALARY: $2,000 USD/month SHIFT: Will work 8:00 AM to 5:00 PM US Eastern Time (EST) POSITION SUMMARY: Bridge33 Capital is a fast-growing, vertically integrated private equity firm focused on open-air strip retail shopping centers. Supports Corporate by ensuring accuracy and compliance of property and portfolio financials across our commercial retail real estate portfolio. Focuses on audit, control and financial reporting reviews, lease compliance, recoveries, and risk identification to drive efficiency and effectiveness of workflows across the operation. ESSENTIAL DUTIES AND RESPONSIBILITIES: Identify Audit & QC Scope Areas Yardi Platform Transactions A/P entries, journal entries, rent roll accuracy, CAM reconciliations Lease abstractions and lease administration data integrity Bank reconciliations and GL coding accuracy Offshore Team Output Quality Work product accuracy, turnaround time,
Full job description
Full Job Description
SALARY: $2,000 USD/month
SHIFT: Will work 8:00 AM to 5:00 PM US Eastern Time (EST)
POSITION SUMMARY:
Bridge33 Capital is a fast-growing, vertically integrated private equity firm focused on open-air strip retail shopping centers.
Supports Corporate by ensuring accuracy and compliance of property and portfolio financials across our commercial retail real estate portfolio. Focuses on audit, control and financial reporting reviews, lease compliance, recoveries, and risk identification to drive efficiency and effectiveness of workflows across the operation.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
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Identify Audit & QC Scope Areas
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Yardi Platform Transactions
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A/P entries, journal entries, rent roll accuracy, CAM reconciliations
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Lease abstractions and lease administration data integrity
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Bank reconciliations and GL coding accuracy
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Offshore Team Output Quality
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Work product accuracy, turnaround time, and process adherence
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Communication quality and escalation handling
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SLA compliance and error rate tracking
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Workflow Adherence & Process Compliance
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AP approval routing and authorization controls
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Lease execution and documentation workflows
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Vendor onboarding and contract management processes
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Financial Reporting Integrity
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Month-end close accuracy and timeliness
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Budget-to-actual variance investigations
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Data Governance
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Master data quality in Yardi (tenant, vendor, unit data)
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Document management and retention compliance
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Establish Success Metrics & KPIs
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Define measurable outcomes that the unit will track and report on from Day 1:
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Error rate reduction in Yardi transactions (target:
Qualifications And Requirements
Mid-Senior level
Requirements & qualifications
Mid-Senior level
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