Vacancy Description
Responsibilities
:
Performs general ledger reconciliations for certain accounts/companies Reconciles bank and investment accounts Enters and updates corporate related journal entries Maintain fixed asset records Update monthly reconciliations Update leasing software with new/expired leases Interim financial statement preparation for related companies Prepare analysis of monthly budget to actual reports Assist with year-end external audit and tax returns Respond to questions and assist with research as required. Requirements: Bachelor's degree in Accounting Required 1-3 years of work experience in Financial Accounting department Proficient in Microsoft Excel Strong analytical abilities Ability to work independently and prioritize tasks Works well under pressure and in a fast-pace...
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