Support core corporate accounting functions (financial reporting, technical accounting, auditing) Support monthly, quarterly, and annual close processes Conduct account reconciliations Prepare timely, accurate financial and operational reporting Support execution of accounting functions (AR, AP, bank reconciliations, journal entries, GL) Ensure compliance with ASC and GAAP standards Support management of tax filings Heavily utilize NetSuite Further develop accounting processes and controls Assist in managing cost of goods sold, prepaid inventory, and inventory reconciliation Respond to requests and deliver key insights Act as a trusted partner to cross-functional teams