Job Description
Responsibilities:
- Monthly financial statement close completed in accordance with closing schedule
- Account analysis and reconciliation on all balance sheets accounts
- Conduct monthly account reconciliations to ensure accurate reporting and accurate reporting and ledger maintenance
- Post journal entries, generate accruals, reconcile bank statements
- Analyze financial statements for discrepancies.
Qualifications:
- Bachelors in Accounting
- 3+ years of accounting experience
- Advanced knowledge of excel
- CPA is a plus.