Description
Responsibilities
- Manage day-to-day banking and cash management activities.
- Reconcile bank accounts, loan accounts, and other general ledger accounts.
- Process month-end and year-end journal entries and closing activities.
- Prepare and record payroll-related journal entries and reconcile payroll accounts (wages, benefits, and statutory deductions).
- Maintain and reconcile the Fixed Assets sub-ledger, track capital projects and update continuity schedules.
- Prepare intercompany reconciliations, identify mismatches, and coordinate with internal stakeholders to resolve discrepancies in a timely manner.
- File monthly sales tax returns and analyze related accounts.
- Assist in the preparation of corporate tax returns and ensure compliance with tax regulations.
- Support internal and external audit processes by preparing documentation and coordinating responses.
- Identify and implement proces...
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