Reconcile bank accounts
· Reconcile various balance sheet accounts
· Record journal entries as needed
· Review, validate, and approve invoices
· Manage invoice exceptions
· Ensure appropriate approval workflows are followed
· Monitor invoice status, approvals, and payment timelines
· Serve as primary point of contact for vendor inquiries regarding invoice status and payments
· Prepare and setup ad hoc reports
· Assist in monthly and year-end closes
· Assist in preparation of annual audits
· Performs miscellaneous duties as assigned
Bachelors Degree
3 or more years experience