REEF transforms Urban Spaces into Community hubs that create jobs and bring new goods, services and experiences to the neighborhood.
With an ecosystem of 5,000 locations and a team that’s over 18,000 strong, REEF is the largest operator of parking real estate and delivery restaurants in North America.
By connecting the world to your block, we’re making the place you live, the place you love to be.
What You’ll Do
Reconcile and maintain the integrity of the general ledger and subsidiary ledger accounts by gathering, researching, and balancing information.
Prepare monthly journal entries.
Prepares month end closing journal entries and month end close workpapers in accordance with GAAP and company policies and procedures.
Reconcile all balance sheet accounts.
Reconciles bank accounts monthly.
Record fixed and intangibles assets and prepare monthly roll forwards.
Ensure compliance with company accounting policies and procedures.
Assist with internal and external auditors as needed.
Willing to perform other duties as assigned.
What We Want From You
Bachelor’s in Accounting/ Finance
At least 3 years of experience in the same or related position
Proficient in MS Office (Excel, Outlook, Teams, Word)