Job Description

Description

+ Prepare and maintain accurate financial records, journal entries, and general ledger reconciliations

+ Assist with month-end and year-end close processes

+ Reconcile bank statements, balance sheet accounts, and other financial accounts

+ Support accounts payable and accounts receivable activities as needed

+ Prepare financial reports, schedules, and supporting documentation for management

+ Help ensure compliance with internal accounting controls, company policies, and applicable regulations

+ Assist with audits by gathering and organizing requested financial documentation

+ Monitor transactions for accuracy and resolve discrepancies in a timely manner

+ Support budgeting, forecasting, and financial analysis activities

+ Maintain fixed asset records and depreciation schedules, if applicable

+ Participate in process improvements to enhance accounting efficiency and accuracy<...

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