The right candidate for the position will be able to effectively execute the following responsibilities:
1. Assist with month-end financial reports
2. Post journal entries
3. Help with accounts receivable, payable and bank statement reconciliation
4. Assist with audits
5. Balance sheet reconciliation
6. Work with the finance team on yearly forecasting efforts
7. Manage the monthly tracking of our physical inventory
8. Support the payment processing team
9. Data entry
10. Credit checks