Role Summary
Oversees client portfolios, supervises bookkeeping teams, ensures trust accounting compliance, and manages client relationships. Plays a key role in driving efficiency and quality within entity’s operations. Key Responsibilities
Oversee bookkeeping and trust accounting for multiple property management clients (STR & LTR). Review and finalize reconciliations, journal entries, and reports prepared by juniors and mid-level bookkeepers. Handle complex transactions, clearing account issues, accruals, and adjustments. Lead client communications, addressing reporting requirements, queries, and escalations. Supervise, mentor, and evaluate Junior and Bookkeepers; provide feedback and training. Ensure compliance with U.S. GAAP, trust accounting rules, and client contracts. Drive process improvements, develop SOPs, and support system integrations (QBO, Get Clearing, VR Platform). Provide financial insights and advanced reporting to clients. Collaborate with management on scaling operations and workflow automation. Requirements
ACCA Qualified / CA Qualified or Finalists strongly preferred. 4–6+ years of progressive bookkeeping / accounting experience, including supervisory exposure. Strong expertise in trust accounting and U.S. property management practices. Advanced knowledge of QuickBooks Online; working experience with US payments processing, expense management, document processing software's. Excellent leadership, problem-solving, and client relationship management skills. Ability to manage multiple portfolios and deliver high-quality results under tight deadlines.
#J-18808-Ljbffr
Accountant • Lahore, Pakistan