Base: $53,900 - $89,800; bonus/equity: not specifi...
On-site
Prepare journal entries
Reconcile balance sheet accounts
Support period-end close
This position is responsible for preparing journal entries, reconciling balance sheet accounts and supporting period-end close activities
Job Summary
This position is responsible for preparing journal entries, reconciling balance sheet accounts and supporting period-end close activities.
This role maintains weekly cash records and executes bank deposits as well as managing the recording of credit card processing activity across various platforms, ensuring completeness, accuracy, and consistency of related revenue and fees.
RX is a global leader in events and exhibitions, leveraging industry expertise, data, and technology to build businesses for individuals, communities, and organizations.
Matching Summary
This position is responsible for preparing journal entries, reconciling balance sheet accounts and supporting period-end close activities.
Salary
Base: $53,900 - $89,800; Bonus/Equity: Not specified; Benefits: Not specified