Job Description
Responsibilities:
- Perform reconciliation for daily and monthly GL and bank reconciliation including some high transaction accounts
- Prepare journal entries as required, and ensure documentation of accounting records
- Demonstrate capacity to assist in other areas of Accounting/Finance
Qualifications:
- Bachelors in Accounting, ideally a CPA
- 3+ years of accounting experience in banking or financial services
- Experience in preparing financial statements
- Strong analytical and problem solving skills