Own and streamline month-end close processes across 5+ operating entities Manage journal entries, reconciliations, and financial statement preparation for diverse entity types Identify and implement efficiency gains in accounting workflows and controls Prepare and review monthly/quarterly statements for 6+ funds Manage monthly loan payments, databases, and borrower communications Analyze investee reporting and prepare reporting for multi-family residential buildings Complete GST, provincial, and regulatory filings; support tax return reviews Lead audit preparation across 8 audits and 3 reviews annually Prepare quarterly investor statements and respond to diligence requests Produce board and investor reports including budget vs. actuals, cash flow projections, portfolio summaries Support capital calls, distributions, new entity setup, and investment closings Present financial information to internal and external stakeholders