Responsibilities: Complete monthly journal entries to identify and resolve issues related to assigned accounts Prepare general ledger account reconciliations Monitor account activity Assist with month-end close process Prepare schedules for internal and external auditors Complete special projects as assigned
Requirements:
BS/BA in Accounting/Finance or related field or equivalent training and experience GL Reconciliation experience 3 years in General Accounting Experience with Accounting software systems. Knowledge of Oracle11i is a plus Detail oriented Strong proficiency with MS Excel Strong communication and interpersonal skills Ability to work in a fast-paced environment and meet required deadlines Strong initiative and drive, with the ability to work independently and in a team atmosphere Must be able to work overtime as required at various times during the year Must successfully pass a background check