Manage full -cycle accounting processes, including journal entries, month -end close, and financial reporting Oversee General Ledger maintenance and reconciliation across multiple entities Execute intercompany accounting processes, including reconciliations, allocations, and eliminations Support financial audits and regulatory compliance requirements Utilize ERP systems (e.g., Great Plains, NetSuite, SAP, Oracle) for transaction processing and reporting Prepare and analyze financial statements and management reports Collaborate with cross -functional teams to ensure accurate and timely financial data
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Job Type
Full-time
Career Level
Entry Level