Job Functions Record accounting journal entries daily for a variety of cash transactions across multiple accounts to ensure accurate financial documentation. Prepare daily and month-end bank reconciliations for several cash accounts, verifying that the balances correspond to the general ledger. Complete additional month-end account reconciliations, such as those for Miscellaneous Receivables. Collaborate with internal staff, including Accounts Payable, Accounts Receivable, and Operations, to confirm all transactions are properly and promptly recorded. Support the accounting team by assisting with internal and external audit requests as needed. Take on ad-hoc projects according to departmental requirements.
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Job Type
Full-time
Career Level
Entry Level
Number of Employees
101-250 employees