RESPONSIBILITIES:
- Manage day-to-day accounting tasks, including bookkeeping, reconciliations, and financial reporting.
- Perform month-end close procedures, including journal entries, account reconciliations, and financial statement preparation.
- Oversee the annual audit process, working with external auditors to ensure compliance and transparency.
- Conduct accounting research as needed to address complex financial matters and regulatory changes.
- Focus on procure-to-pay processes, ensuring efficient and accurate financial transactions related to purchasing and payments.
- Manage treasury functions, including cash flow monitoring, forecasting, and optimizing liquidity.
- Oversee banking relationships, including account management and transaction oversight.
- Implement and monitor internal controls for treasury and cash management activities.
- Prepare monthly financial statements and provide insights to support business decisions.
- Ensure compliance with tax regulations and financial policies.
- Assist with financial forecasting and budgeting.
- Maintain accurate records and improve accounting processes for efficiency.
- Collaborate with leadership on financial strategy, cost management, and investment planning.
EDUCATION/EXPERIENCE REQUIREMENTS: (including certification, licenses, etc.)
- Bachelor’s degree in Accounting, Finance, or related field; CPA preferred.
- 5+ years of progressive accounting experience, ideally with exposure to startup or early-stage environments.
- Strong understanding of GAAP and financial reporting.
- Hands-on experience with treasury management and financial operations.
- High attention to detail with strong analytical and problem-solving skills.
- Comfortable wearing multiple hats and working independently in a fast-paced environment.
- Proficient in accounting software and Excel; experience with NetSuite a plus.
ABOUT YOU:
- The ideal candidate for this role will take high ownership in their work, proactively seek guidance as needed, and is excited to contribute to a growing team.
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What We Do
CIM is a community-focused real estate and infrastructure owner, operator, lender and developer. Our in-house team of experts works together to identify and create value in real assets, benefiting the communities in which we invest. Back in 1994, our three founders focused on projects in Southern California neighborhoods. Today, we’re a diverse team of more than 990 employees with projects across the Americas. Our projects have delivered jobs; created comfortable places to live, work and relax; and provided necessary and sustainable infrastructure. Our focus on enhancing communities is unwavering, and we’re striving to make an even greater impact in the years to come.









