Andrew supports Browning’s finance and accounting operations by ensuring accurate and well-organized financial reporting across the firm’s entities. As Staff Accountant, he manages core accounting functions including bank reconciliations, journal entries, accounts receivable processing, and financial statement preparation.
He prepares financial packages for internal teams and investors, manages billing and invoicing for more than 60 entities, processes deposits, and monitors tenant accounts through monthly aging and delinquency reports. Andrew also assists with draw preparation and other financial projects that help keep Browning’s work moving forward with clarity and precision.