Perform month-end close functions for multiple entities, including preparing accruals, reclasses and other journal entries
Reconcile assigned Balance Sheet accounts
Perform detailed Income Statement flux analysis
Record cash transaction activity and reconcile bank accounts in USD and CAD
- 2 - 4 years accounting experience
- Bachelor's degree in Accounting, Finance or equivalent
- High degree of accuracy and attention to detail
- Excellent analytical, problem-solving, verbal, listening and written communication skills
- Strong organizational and time-management skills
