Manage end-to-end books for real estate clients. Process HUD statements, commissions, and real estate-specific transactions. Reconcile balance sheets, bank accounts, credit cards, and loan accounts. Categorize uncategorized transactions. Prepare monthly financial statements with variance analysis. Support client onboarding. Join calls with clients and US-based teams. Flag risks and opportunities. Standardize checklists, SOPs. Recommend and implement automation tools. Maintain organized, audit-ready files. Process payroll. Assist with tax and compliance preparation.