This position is responsible for performing accurate and timely bank reconciliations across multiple bank accounts and business units, preparing and processing journal entries, and completing general ledger account reconciliations to support the periodic close process. This role analyzes account activity, researches and resolves reconciling items, and explains variances related to cash activity, journal entries, and general ledger balances. The Accountant partners with internal teams to ensure financial records are complete, accurate, properly supported, and aligned with company policies and accounting standards.
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Job Type
Full-time
Career Level
Mid Level