Assists with monthly financial statements for multiple companies, including balance sheet, income statement, statement of cash flows and supporting schedules. Prepares monthly reconciliations and supporting schedules of general ledger accounts, as assigned. Assists with and prepares annual budgets, including projected financial statements and the monthly spread of revenues and expenses. Assists in providing financial information for the external audit. Assists with and prepares information returns required by state and federal agencies relating to tax, payroll and third-party reimbursement. Processing payments of accounts payable invoices. Performing the duties, including preparation of journal entries and reconciliations, within the scope of the functional team to which they are assigned.
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Job Type
Full-time
Career Level
Mid Level