Responsibilities:
- Prepare journal entries and supporting details
- Responsible for monthly reconciliation of assigned accounts
- Fixed assets accounting
- Assist with month-end close
- Prepare, process and maintain customer credit application packets
- Process customer invoices
- Post customer payments
- Daily treasury management and bank reconciliations
- SOX testing
- Perform analytical review of financial statement fluctuations
Required Experience:
- Three years full-cycle accounting
- Intermediate proficiency in Excel