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The role is primarily focused on maintaining accurate financial records, processing journal entries, and conducting account and balance sheet reconciliations.
Job Responsibility:
Conducting account reconciliations to ensure accurate reporting and ledger maintenance
Performing balance sheet reconciliations and bank reconciliations
Ensuring accurate and timely processing of journal entries
Utilizing Microsoft Excel for data analysis and financial reporting
Assisting with month-end close procedures
Maintaining general ledger and ensuring its accuracy and completeness
Requirements:
Minimum of 2 years of experience in the role of an Accountant
Proficiency in Account Reconciliation
Skill and experience in Balance Sheet Reconciliation
Adept at performing Bank Reconciliations
Familiarity with General Ledger operations
Capable of making accurate Journal Entries
Proficiency in Microsoft Excel
Experience with Month End Close procedures
What we offer:
Medical, vision, dental, and life and disability insurance
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