Provide support for the Distribution Accounting group on various projects, standardize financial reports, process and post journal entries for month end close.
Responsible for the timely and accurate review and posting of month-end close and accounting transactions, including income statement and balance sheet account analysis, review, reconciliation, and resolution, and ensuring overall general ledger integrity and financial compliance
Identifies process improvement opportunities, shares best practices, and develops programs to strengthen internal controls and procedures and improve efficiencies.
Prepare information in support of annual external audit and quarterly reviews
Performs any special projects, as assigned.
Bachelor’s degree with emphasis in accounting or finance required