Summary from listing
The role performs month-end and weekly accounting close activities, prepares journal entries, reconciles general ledger accounts, manages complex accounting areas such as leases, work-in-progress, prepaid items, and fixed assets, supports consolidated financial reporting and intercompany accounting, reviews financial statements, and assists with internal and external audits. The position also creates accounting procedures, reviews processes for continuous improvement, and requires competencies including auditing, JDE, Hubble, reconciliations, documentation, problem solving, and time management.
