Prepare and post month end close journal entries
Manage the fixed asset database for additions, disposals, and transfers.
Oversight of the accounts payable, accounts receivable and payroll functions.
Preparing supporting documentation for balance sheet accounts as well as journal entries.
Balance Sheet account reconciliations.
Assist with reviewing of expenses, payroll records, etc. as assigned.
Minimum 2 years experience.
Bachelor's degree in Accounting.
Thorough knowledge of Microsoft Excel.
Excellent written and verbal communication skills required.
Good knowledge in Accounting.