Job Description
  Prepare accounting schedules as well as monthly, quarterly, and annual financial statements  Prepare cash reconciliations and transaction level journal entries Produce statements and other required financial information  Assist in preparation of annual budgets, forecasts and reports for management Prepare and operate the treasury/ cash management function Generate system prepared reports and supporting schedules Prepare and sign-off on bank account reconciliations Assist in the daily execution of a robust system of internal controls Troubleshoots escalated issues and ensures internal and external customer requests are handled 
  Requirements
  Strong analytical, problem-solving and organization skills  Excellent verbal, written and interpersonal communication skills Able to communicate with professionals at all levels Detail, deadline and goal-oriented A team player Strong work ethic
  Experience
  Bachelor’s degree in accounting, finance or related field and a minimum of 1-2 years’ relevant experience 
 REF# 38306