Property Name: S2 Industrial Responsibilities Process internal accounts payable transactions, ensuring proper coding and approvals. Prepare and post accrual journal entries as part of the monthly close process. Perform account analysis and reconciliation to ensure accuracy of financial records. Process reclasses to correct account coding errors. Prepare and submit Charge Change and Collection Forms as needed. Support investor bank reconciliations and related cash booking. Process and track insurance billback transactions. Assist with corporate financial preparation on a monthly basis. Support ad hoc accounting projects and tasks as assigned.
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Job Type
Part-time
Career Level
Entry Level
Education Level
Associate degree