Job Description
Responsible for monthly review and reconciling of General Ledger Accounts, prepare monthly bank reconciliations, assist with month-end financial reporting close process and analysis, along with additional ad hoc tasks. Monitor, analyze, and reconcile prepaid expenses, miscellaneous receivables, accruals and other balance sheet accounts. Prepare and post journal entries as needed. Assist with Fixed Asset tracking and associated depreciation schedules. Support ACH bank related payments. Review and file sales and use tax reports. Help facilitate government census requests for data when received. Serve as a back-up resource to our weekly Payroll Process. Assist with lease payables and monthly entries. Assist with other general accounting related tasks as needed.
Qualifications:
· BA/BS degree from an accredited four-year college or university in Accounting or Business (Preferred)
· Up to 1 year of experience in accounting function with industry (Preferred) Excellent numerical and analytical skills
· Knowledge of accounting and financial reporting competencies
· Good organizational abilities
· Proficiency in MS Office and competency in computer software
· Exceptional interpersonal and communication skills
· Must be dependable, able to multi-task and the ability to meet strict deadlines
Company DescriptionManufacturing of pet food.
Manufacturing of pet food.
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