Job Description:
• Prepare and post monthly journal entries with solid supporting documentation to back every move
• Support month-end, quarter-end, and year-end close processes, making sure everything is recorded accurately and on time
• Keep documentation organized and audit-ready at all times
• Perform monthly balance sheet account reconciliations and investigate discrepancies before they become bigger problems
• Monitor account activity to ensure balances are accurate, properly supported, and telling the right story
• Adhere to internal control policies and ensure compliance with accounting standards
• Maintain thorough documentation to support audits and financial reviews
• Collaborate with internal departments to ensure accurate financial reporting across the board
Requirements:
• Bachelor's degree in Accounting, Finance, or a related field
• 2–4 years of accounting experience
• Excellent understanding of general ledger accounting
• Experience performing journal entries and account reconciliations
• Proficiency in Microsoft Excel
• Experience with Oracle or a similar ERP system is a plus
• Sharp analytical and problem-solving skills with a high attention to detail
• Ability to manage multiple deadlines and priorities
Benefits:
• Equal Opportunities
• Diversity, Equity and Inclusion are important to us