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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