Cabot Properties, Inc.
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The Corporate Accountant at Cabot Properties will manage the expenditure and revenue cycles, ensuring accurate GL coding, processing invoices, and maintaining vendor file requirements. Responsibilities also include bank reconciliations, month-end closing tasks, and supporting annual audit requests. Effective communication and multi-tasking in a fast-paced environment are key aspects of the role.
The Treasury Associate will assist the Assistant Treasurer in cash management, including the preparation of daily cash positions and monthly cash flow projections. Responsibilities include initiating wire transfers, maintaining bank reconciliation logs, processing payments to banks, and supporting external audits, while ensuring confidentiality and professionalism.