Perform day-to-day accounting duties such as accounts payable, accounts receivable, treasury (processing deposits/ACH transactions), fixed assets, sales tax reporting, etc.
Assist with month-end close procedures and follow through on various month end tasks, including preparation of journal entries, analyzing accounts/activity, etc.
Prepare monthly balance sheet account reconciliations, intercompany reconciliations, bank reconciliations and variance analysis
Involved with departmental cross-training – back-up other positions as needed
Assist with forecast/budget processes and developing/reporting of metrics/KPI’s
Assist with internal/external audits (financial and tax)
Perform other duties as assigned
Bachelor’s Degree in Accounting (or related BS/BA degree with relevant accounting work experience)
1-5 years relevant work experience
Comfortable in fast-paced, constantly changing environment; high sense of urgency
Deal effectively with ambiguity: cope with change well, can shift gears comfortably, can decide and act without having the total picture, can work independently but know when to ask questions and potentially reduce ambiguity
Team player / generalist – willing to pitch in where/as needed