Senior Accountant Amrapur Overseas Inc - 3.0 Corona, CA Job Details Full-time $70,000 - $85,000 a year 1 day ago Benefits Health insurance Dental insurance Vision insurance 401(k) matching Qualifications Cash flow management Debt covenant compliance Preparation of internal financial performance reports Internal controls CPA SAP Professional ethics Accurate transaction records management Consolidated financial statement preparation Financial records management GAAP Compliance documentation Risk management QuickBooks Fraud prevention and detection Segregation of duties analysis Full Job Description We are seeking a highly motivated and detail-oriented Senior Accountant to join our dynamic finance team. This pivotal role offers an exciting opportunity to lead complex accounting functions, ensure compliance with financial regulations, and contribute to the strategic financial planning of our organization. The ideal candidate will possess a strong foundation in accounting principles, extensive experience with various financial software systems, and a passion for accuracy and efficiency. As a Senior Accountant, you will play a key role in maintaining the integrity of our financial data, supporting audits, and streamlining accounting processes to drive organizational success. Duties Prepare, review, and analyze complex journal entries, account reconciliations, and general ledger transactions to ensure accuracy and compliance with GAAP (Generally Accepted Accounting Principles). Manage accounts payable and receivable processes using accounting software such as SAP Business One; ensure timely processing of payments and collections. Conduct detailed analysis of financial data to support month-end close procedures, variance analysis, and financial reporting. Support corporate accounting functions such as general ledger maintenance, journal entries, account reconciliation, and double-entry bookkeeping. Collaborate with human resources on benefits administration.
- 5+ years of progressive accounting experience, preferably in real estate, property management, or multi-entity organizations.
- Experience managing accounting for rental properties, commercial real estate, or property management companies.
- Proven ability to prepare financial statements, supporting schedules, rent rolls, cash flow reports, and other documentation required for bank loans, refinancing, and credit facilities.
- Experience working directly with banks, lenders, and auditors to support loan applications, covenant compliance, and financial due diligence.
- Strong understanding of property-level accounting, tenant reconciliations, CAM reconciliations, security deposits, and fixed asset accounting.
- Experience accounting for multiple entities, intercompany transactions, and consolidated financial reporting.
- Proficiency with QuickBooks, SAP Business One, or similar accounting systems.
- Thorough knowledge of GAAP, account reconciliations, month-end close, and financial reporting.
- CPA designation is a plus but not required.
- Ability to travel locally within the Los Angeles area for occasional property visits and meetings with lenders or stakeholders.
- Experience and knowledge of construction industry.
Prepare and coordinate financial packages for loan applications, refinancing activities, and banking relationships, including financial statements, cash flow analyses, rent rolls, and supporting documentation. This position is entrusted with significant financial responsibilities, including managing daily banking activities, processing vendor payments, overseeing cash transactions, and handling sensitive financial information. The ideal candidate must demonstrate the highest level of integrity, professionalism, discretion, and ethical judgment. The successful candidate will have a proven track record of accuracy, accountability, and responsible financial stewardship. Strong internal control awareness, attention to detail, and adherence to company policies and financial procedures are essential. Additional Requirements Demonstrated commitment to ethical business practices and confidentiality. Strong understanding of internal controls, segregation of duties, fraud prevention, and risk management. Ability to maintain accurate records and provide transparent documentation supporting all financial transactions. Willingness to undergo background and reference checks.
Pay:
$70,000.00 - $85,000.00 per year
Benefits:
401(k) matching Dental insurance Health insurance Vision insurance
Work Location:
In person