Responsibilitiesï‚· Responsible for month-end close activities, account reconciliations, Preparing & posting ofJournals, and allocations,ï‚· Preparing reconciliations of balance sheet accounts, investigating, and resolvingdiscrepancies as needed,ï‚· Fixed assets (Leases & Intangibles) accounting and reconciliations,ï‚· Posting Bank related Journals, making reconciliations and preparing various reports,ï‚· Review of P2P & O2C accounting, Reconciliations, Journals,
Responsibilitiesï‚· Responsible for month-end close activities, account reconciliations, Preparing & posting ofJournals, and allocations,ï‚· Preparing reconciliations of balance sheet accounts, investigating, and resolvingdiscrepancies as needed,ï‚· Fixed assets (Leases & Intangibles) accounting and reconciliations,ï‚· Posting Bank related Journals, making reconciliations and preparing various reports,ï‚· Review of P2P & O2C accounting, Reconciliations, Journals,
GENERAL RESPONSIBILITIES (The essential responsibilities and accountabilities of this position including interactions with other departments and outside vendors, if applicable, in PRIORITY order.) ·End-to-end ownership of assigned Processes (Design, Implement, and Execute)·Owns, creates, and maintains assigned process documentation·Owns, creates, and maintains end-user training for assigned processes·Consults with Departments and Divisions on specific
GENERAL RESPONSIBILITIES (The essential responsibilities and accountabilities of this position including interactions with other departments and outside vendors, if applicable, in PRIORITY order.) ·End-to-end ownership of assigned Processes (Design, Implement, and Execute)·Owns, creates, and maintains assigned process documentation·Owns, creates, and maintains end-user training for assigned processes·Consults with Departments and Divisions on specific
let similar jobs come to you
we will keep you updated when we have similar job postings.