- Maintain, scrub, and organize large sets of financial records to ensure data integrity.
- Perform daily and monthly reconciliations for bank, revenue, and COGS accounts.
- Investigate and resolve financial variances and discrepancies.
- Provide general accounting support, including preparing journal entries and organizing month-end close documentation.
- Assist with financial modeling, statistical analysis, and budget/forecasting processes.
- Present data-driven recommendations based on analysis to the finance team.
- Support process improvement through the automation of routine reconciliation tasks.
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