Perform detailed vendor account reconciliations, identifying and resolving discrepancies. Analyze and reconcile general ledger accounts related to accounts payable and vendor transactions. Apply strong understanding of debits and credits to ensure accurate financial entries. Collaborate with internal teams and vendors to gather documentation and resolve outstanding issues. Maintain accurate records and documentation for audit and compliance purposes. Utilize Microsoft Excel to manage reconciliation templates, pivot tables, and data analysis. Support month-end close activities as needed.
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Career Level
Entry Level