Description
RESPONSIBILITIES:
- Post cash activity weekly – working with the Accounting Manager and Regional Controller as needed to ensure transactions are coded correctly
- Post transactions to the financial statements on a monthly basis.
- Ensure an accurate and timely month-end and year-end close process, prepare balance sheet reconciliations and account analysis
- Assist with providing external auditors all requested materials, in conjunction with Regional Controller and Accounting Manager
- Identify opportunities for efficiencies and implement streamlined procedures where possible
- Execute the individual and team goals that support strategic and operational initiatives
- Contribute to team culture
REQUIREMENTS:
- Bachelor’s degree in accounting, finance, or a related field
- 1+ years of prior accounting experience
- Ability to communicate accounting and financial information into common language
- Stellar time management and organizational skills
- Works collaboratively and energetically
- Impeccable integrity and ethical standards
- Able to operate effectively even when information may be incomplete or limited
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