Back to jobsPrepare manual journal entries and account reconciliations, ensuring accuracy, integrity, and compliance of financial information.
Analyze account balances and financial transactions to ensure proper accounting treatment, including lease accounting.
Support monthly, quarterly, and annual closing processes, including preparation of 10-Q/10-K schedules.
Assist with audit requests (internal and external) and perform financial access control activities.
Participate in process improvement projects, system implementations, and prepare margin analysis by product and brand.
