- Support the monthly close process with in-month and end-of-month activities
- Manage input of journal entries
- Perform monthly revenue reconciliation and posting
- Perform monthly balance sheet reconciliations for assigned accounts
- Perform all monthly bank reconciliations
- Maintain weekly input of bank transactions
- Perform daily Ramp and BILL entries
- Assist with annual tax preparation and documentation requests
- Assist with annual audit process
- Identify opportunities for process improvement
- Contribute to developing and implementing best practice accounting procedures
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