Full-cycle bookkeeping Bank and account reconciliations Processing payables, receivables, allocations, and bill payments Tracking spending versus budget and preparing monthly reports Managing closings for land/project acquisitions and dispositions Handling investor fund accounting, draw requests, and disbursements Supporting budgeting, forecasting, and financial analysis Assisting in policy development, compliance, and internal control improvements Partnering in system building (BI dashboards, automation, process optimization) Coordinating with external CPAs for audit/tax prep and reporting Input on risk management, investor reporting, and strategic planning