Base: $68,000.00 - $80,000.00; bonus/equity: not s...
On-site
Journal entries and account reconciliations
Accrual accounting
Internal controls documentation
Prepare journal entries and monthly account reconciliations to support an accurate and timely close
Job Summary
Prepare journal entries and monthly account reconciliations to support an accurate and timely close.
Contribute to the ongoing enhancement of the month-end close process, including identifying opportunities to improve efficiency and strengthen controls.
We champion every identity. One of our core values, Respect Individuality, reminds us to celebrate differences so you are empowered to bring your authentic self to work.
Matching Summary
Prepare journal entries and monthly account reconciliations to support an accurate and timely close.
Salary
Base: $68,000.00 - $80,000.00; Bonus/Equity: Not specified; Benefits: Not specified