Finance/Accounting Intern

OshkoshOshkosh, WI
12d$18 - $37Onsite

About The Position

At Oshkosh, we build, serve and protect people and communities around the world by designing and manufacturing some of the toughest specialty trucks and access equipment. We employ over 18,000 team members all united by a common purpose. Our engineering and product innovation help keep soldiers and firefighters safe, is critical in building and keeping communities clean and helps people do their jobs every day. As a year-round Finance/Accounting intern, you will support the business through completion of various reports and analytical projects. This internship will be primarily onsite, with flexibility during the school year. In this role, you will gain hands-on experience and contribute to key financial processes, including analyzing functional actuals, developing forecasts and budgets, supporting the monthly close process, and assisting with ad hoc analysis. YOUR IMPACT As a Finance/Accounting intern your assignments may include: Assist in monthly close process to include but not limited to: Preparation of journal entries. Bank reconciliations. Audit schedules. Cost center reviews. Distribution of business unit packages. Intercompany reconciliations. Assist with the annual budget process. Assist with fixed assets. Reconciliation of general ledger accounts. All other duties or responsibilities as assigned.

Requirements

  • Sophomore standing or greater working toward a bachelor’s degree in accounting or finance
  • Graduating on or after May of 2027
  • Basic Microsoft Excel, Access, and Word knowledge
  • Available 20 hours per week during school and full-time during breaks

Nice To Haves

  • Strong ability to communicate effectively
  • Excellent organizational skills
  • Advanced Basic Microsoft Excel, Access, and Word knowledge

Responsibilities

  • Assist in monthly close process to include but not limited to: Preparation of journal entries.
  • Bank reconciliations.
  • Audit schedules.
  • Cost center reviews.
  • Distribution of business unit packages.
  • Intercompany reconciliations.
  • Assist with the annual budget process.
  • Assist with fixed assets.
  • Reconciliation of general ledger accounts.
  • All other duties or responsibilities as assigned.
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