Responsibilities: Perform bank account and general ledger reconciliations with accuracy and timeliness Identify, investigate, and resolve discrepancies within the general ledger Support month-end close processes and assist with related ...
Description -Perform bank account and general ledger account reconciliations -Investigate and resolve discrepancies within the G/L -Support month-end close activities as needed -Utilize IQMS ERP for accounting transactions and reporting -...