Assist with the monthly financial close process Prepare journal entries and maintain the general ledger Conduct account balance reconciliations Prepare ad-hoc reports Manage cash, credit card spend, and AP/AR Assist with payroll and general administration Analyze and synthesize financial data Assist with compilation of information for tax returns and audits Organize contracts and track compliance Contribute to improving expense approval processes Document accounting policies and procedures Assist in development/implementation of new procedures Support special projects analyzing financials and costs