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This position will be responsible for various areas related to Property Accounting including monthly financial reporting, timely month-end, quarterly and year-end close asset related activities, reconciling project asset accounting activity, and resolving complex discrepancies involving all asset related ledgers.
In addition, incumbent will be responsible for review and capitalization of all project asset transactions, timely capitalization, reconciliations related to projects, and communications with Facilities management to determine status of projects.
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