Location: White Plains, New York
Posted On: 10/10/2017
Job Code: 5470_Accoun_NY
Job Description
•Perform monthly reconciliation of cash and other balance sheet accounts.Provide support to business partners during period close by assisting with accounting transactions
•Assist in maintaining the Accounting Services SPA box on a daily basis by researching and answering field requests and generate journal entries as needed
•Prepare quarterly schedules for review by management
•Actively participate in process improvement projects to promote best practices.
•Complete periodic, quarterly and annual closing of the financial statements.
•Prepare/process journal entries to ensure accurate financials. Perform periodic bank reconciliations and schedules.
•Work with field location teams to manage timely submission of periodic results. Assist BU accounting teams as needed with reconciliations, journal entries, SPA box inquiries, projects and other ad hoc reporting
•Ensure all key controls/tasks are performed and in compliance with PBC policies.
Category:IT  code:new
Job Requirements
•BS in Accounting/Finance (Min 1-2 years of related work experience). Job will revolve heavily around bank reconciliations, journal entries, financial analysis, ad hoc reporting.
•Other Skills: MS Office (Excel is a must – pivot tables, vlookups, sumif, etc.), strong communication and analytical skills.
•Experience with Oracle is a plus

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Contact Details
Devyanshu Agrawal