Related skills
reconciliations netsuite excel📋 Description
- Verify and post business transactions in the accounting system
- Perform bank reconciliations
- Manage Prepaids schedules and monthly reconciliations
- Manage fixed assets additions, disposals and depreciation
- Become proficient in using the NetSuite accounting system
- Participate in month-end close, including journal entries
🎯 Requirements
- Bachelor’s degree in business, finance, or accounting
- Proficient in MS Excel and Microsoft Office
- Strong understanding of accounting principles and procedures
- Excellent organizational skills
- 2+ years accounting experience, bank reconciliations, month-end
- NetSuite experience preferred
🎁 Benefits
- Generous time off policies
- Top shelf benefits
- Education, wellness and lifestyle support
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