Responsibilities
- Conduct monthly reconciliation of balance sheet accounts
- Deliver transactional support for accounts receivable and payable as needed
- Assist in financial data analysis and reporting tasks
- Refresh weekly gross margin reports
- Support month-end profit and loss reporting cycles
- Contribute to year-end closing and annual budget preparation
- Help develop business intelligence dashboards to enhance reporting and decision-making
- Respond to additional financial analysis and reporting requests as necessary
Work Arrangement
Hybrid
Work Arrangement
Hybrid
Other
Work Schedule: 6 AM to 3 PM, Mondays to Friday