Ensures completion of account reconciliation and analysis, journal entry preparation and data entry.
Completes the month-end close process.
Compiles, consolidates and conducts analysis of accounting and finance information.
Prepares standard journal entries that require analysis.
Performs more complex monthly and annual account reconciliations.
Prepares tables, charts and other exhibits for reports.
May perform complex accounting projects or participate as a team member on complex projects.
Performs ad hoc reporting requests as needed.