Responsibilities are varied and include, but are not limited, to the following:
• Assist with month-end and year-end close procedures
• Prepare and complete monthly bank reconciliations and other balance sheet account reconciliations
• Gather information/input data/create spreadsheets, etc. to support annual financial and cost report audits
• Coordinate and report on month-end accruals of outstanding invoices and expenses
• Review of the income statements during month-end close
Job Requirements:
• Bachelor's degree in Accounting or Finance
• Strong technical accounting background
• Detail-oriented, well-organized, and results-oriented problem solver
• Able to adapt to a fast-paced environment and interact with all levels of the organization
• Excellent communication skills (verbal and written)
• MS Word, Excel, and Outlook knowledge
• Ability to problem solve, analyze, and interpret data
• Positive, flexible communication style, able to adapt to various personalities in the workplace