Prepare monthly general and standard journal entries as needed.
Prepare account reconciliations.
Assist with the monthly close of all practices in an accurate and timely manner.
Assist with financial statements and comparative reports.
Assist with ensuring that all balance sheet accounts are reconciled monthly and supported by valid detail.
Assist with independent auditor information requests for the interim and year-end audits.
Good communication skills.
Excellent problem-solving skills.
Strong organization skills.
Two years experience required.