Description
What You Will Do
- Execute routine journal recordings with high precision, ensuring all transactions are coded correctly to the proper ledger account.
- Assist in reviewing the operating journals from the Finance Operations team.
- Reconcile bank statements, accounts, and ledgers on a regular basis.
- Support the month-end and year-end closing process by performing account reconciliations and verifying the accuracy of trial balance data.
- Collaborate with cross function teams to meet reporting deadlines.
- Identify opportunities to enhance closing timelines, streamline financial processes, and improve reporting efficiency.
- Ensure all work papers are organized and transparent, allowing for seamless review by internal and external auditors.