Job description
Our client is hiring a new Accountant to join the team. This is a remote opportunity in the Cleveland, Ohio area.
Key Responsibilities
Perform month-end close duties and reporting including recording of accurate journal entries
Conduct monthly balance sheet account reviews and reconciliations to ensure ledger maintenance
Analyze financial reports and records for discrepancies
Assist with management of cash flow forecasting including daily oversight of bank activity and preparation of bank reconciliations
Coordinate Inter- and Intracompany reconciliations and reporting
Ensure compliance with financial policies and procedures
Assist with various ad-hoc reporting and projects as needed
Skills and Abilities
Highly detail-oriented and organized
Ability to successfully handle multiple deadlines and competing priorities in a fast-paced environment
Excellent communication skills
Experience utilizing SAP accounting software
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