Job Abstract

Perform month-end close activities based on the monthly close checklist including generating reports, analyzing data and account balances, preparing accrual and/or reclassifying entries Reconcile Balance Sheet accounts as assigned each month. Identify, track and resolve any reconciling items in a timely manner. Review, research and reclass cash receipts unrelated to Trade Receivables Partner with Accounts Payable and Accounts Receivable to ensure complete and accurate posting of bank transaction... more details

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