Back to jobsAssist in the month-end close process, including preparing journal entries in a timely and accurate manner
Prepare monthly reconciliations of balance sheet accounts with appropriate support
Conduct bank reconciliations and ensure accuracy of financial data
Gather documentation and support for internal and external auditors for quarter- and year-end audits
Answer accounting and financial inquiries by researching and interpreting data
Assist in implementing and documenting accounting policies and procedures to ensure all financial transactions are executed in accordance with GAAP
Ensure compliance with Sarbanes-Oxley requirements as well as company policies and procedures
Participate in continuous improvement processes
Other responsibilities include, but are not limited to, participating in special projects, system enhancements or ad-hoc analyses as assigned
