Job Description
Responsibilities:
Perform monthly reconciliations, record daily cash activity, prepare, review and analyze monthly financial statements; assist in the month end, quarter-end and year-end closing processes, ensuring transactions are in accordance with GAAP and internal policies and procedures are followed.
Qualifications::
- Bachelor’s Degree in Finance, Business or Accounting
- 3 years of related experience minimum
- Microsoft Excel skills required (pivot Table, V-lookups, etc.)
- Ability to apply strong problem solving techniques Experienced and skilled in reconciliation
- Strong exposure to commonly use accounting software.