Hybrid Finance Analyst: Invoicing & Reporting

CBRE

Atlanta (GA)

Hybrid

USD 60,000 - 85,000

Full time

14 days+
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Job summary

CBRE seeks a Finance Analyst in Atlanta to support invoicing, project setup, and core finance functions within a dedicated business line. This embedded role improves operational efficiency, ensures accurate revenue recognition, and maintains internal controls. The position is a hybrid Atlanta role.

The analyst will generate financial packages, post journal entries, and collaborate with management to resolve accounting issues while using standard procedures and Microsoft Office tools.

Qualifications

  • Authorized to work in the United States without visa sponsorship.
  • Bachelor's Degree preferred; combination with experience considered.
  • Experience analyzing information and applying standard practices to judgment.
  • Strong knowledge of Microsoft Office products (Word, Excel, Outlook).
  • Microsoft D365 experience is strongly preferred.

Responsibilities

  • Support core finance operations within a dedicated business line including invoicing and project setup.
  • Complete accounting transactions in preparation of client financial statement packages.
  • Create and post journal entries; ensure all expenses and transactions are accurately posted.
  • Use data from multiple sources to generate reports and financial packages.
  • Review information for accuracy and respond to management and vendor requests.
  • Understand scenario planning tools and analyze business trends to inform decisions.

Skills

Organizational skills
Analytical thinking
Ability to analyze information

Education

Bachelor's degree

Tools

Microsoft Office
Microsoft D365

Job description

CBRE seeks a Finance Analyst in Atlanta to support invoicing, project setup, and core finance functions within a dedicated business line. This embedded role improves operational efficiency, ensures accurate revenue recognition, and maintains internal controls. The position is a hybrid Atlanta role.

The analyst will generate financial packages, post journal entries, and collaborate with management to resolve accounting issues while using standard procedures and Microsoft Office tools.

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