The role will primarily be focused on journal entries and balance sheet reconciliations. Additional responsibilities include accurate and timely application of daily receipts and researching and resolving discrepancies. This position works closely with the Accounts Receivables and Accounts Payable teams to ensure all duties are completed timely and accurately and with the accounting team with monthly close and timely deliverables.
ESSENTIAL DUTIES AND RESPONSIBILITIES
Process daily cash receipts and post to client accounts in a complete and accurate manner. Researching and clearing discrepancies as necessary.
Perform the monthly close process in an accurate and timely manner.
Assisting, assigning, and managing the ticketing system with the accounting team. Ensuring tickets are responded to and closed in a timely manner.
Receives, researches, and resolves a variety of routine internal and external inquiries concerning accounting items, assisting with annual audits, including communicating the resolution to appropriate persons in a professional and clear manner.
Performs other duties as required to support the accounting department.
Ability to support other functions in the accounting department on an as-needed basis.
QUALIFICATIONS AND REQUIRED SKILLS:
Proven cash receipts and monthly close accuracy in a high transaction/high volume/technical multicurrency environment.
A minimum of 4-5 years of experience in an accounting role, preferably with experience in a global company.
Knowledge of Workday FIN is not required but would be advantageous.
Ability to communicate clearly with all clients and employees on a global basis and provide truly exceptional customer service.
Ability to perform work with some judgment.
Proven problem-solving skills.
Strong Excel and organizational skills required
Excellent written and verbal communication skills
Strong technical skills
Ability to multi-task
Open to change and willing to learn new skills