Job Description
Responsibilities:
Reconcile inventory related general ledger balance sheet accounts on a timely basis.Prepare/review, investigate, and resolve accounting errors, discrepancies, and reconciling items.Perform review of inventory reserve calculations.Prepare adjusting and month-end journal entries.Maintain procedures to ensure that transactions are executed in accordance with general or specific authorization.Recommend process improvement opportunities by identifying problems, evaluating trends, and anticipating requirements around controls.Maintain accurate, complete, and timely records of business transactions.Perform ad-hoc analysis and reporting to identify issues and improvement opportunities.Assist in or lead special projects as necessary.Perform other duties as assigned. Requirements:
Bachelor’s Degree in accounting, Financ...
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