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ACCOUNTANT
- Reconcile assigned entry level General Ledger accounts on a monthly basis in accordance with departmental standards
- Assist with departmental closing procedures on a monthly and yearly basis. This includes, but is not limited to, completing interim and year-end reconciliations, filing of cash receipts, cash receipts uploads.
- Prepare and review the annual and monthly budget for income and expense accounts, including related schedules, for various areas within the organization and contacts management regarding questions and concerns relating to their budget.
TAAADJN_1778079388
