This is a 6 month contract with permanent potential
About the Opportunity
Prepare month end financial statements
Reconcile cash transactions and bank statements for multiple corporate cash accounts
Monitor reconciliation activities performed by a center of excellence
Research and resolve reconciling items related to cash
Collaborate with different departments of the business to ensure proper recording of cash-related transactions and timely resolution of reconciling items
Prepare and approve journal entries and month-end account reconciliations for cash and investments
Monitor and analyze cash flow reporting
Provide insightful financial analysis, including explanations of variances between actual and prior period results
Have a strong understanding of accrual accounting under US Gener...