Assist with month‑end and year‑end close, ensuring timely and accurate financial submissions. Prepare and post journal entries. Process and record bank deposits and ensure accurate cash reconciliation. Monitor and follow up on aged accounts receivable. Generate financial reports as needed. Collaborate regularly with the CFO and accounting team, supporting shared projects and financial accuracy. Utilize Microsoft Dynamics 365 Business Central (training provided). Support general accounting functions as needed. May take on some AP & AR tasks.
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Career Level
Entry Level
Education Level
Associate degree