Prepares and analyzes financial data, reports and records, identifies discrepancies, investigates, recommends, and implements basic solutions as needed
Assists in preparing budgets and financial projections
Assists with accounting and reviewing reconciliations, journal entries, schedules, and reports
Prepares and/or approves financial transactions and payments
Organizes, prepares, and updates basic financial statements, monthly and year-end journal entries, accounts, ledgers, and reports for various financial needs within an automated financial system to ensure accurate recording and reporting of financial transactions
Answers questions and provides accounting related information to internal and external stakeholders according to established policies and procedures
Requirements
Experience with Microsoft suite
2 Years of professional finance experience, highly preferred