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This role will involve handling various accounting functions, including grant reimbursements, bank reconciliations, and journal entries, particularly during the busy year-end period.
Job Responsibility:
Handle accounting functions with a focus on accuracy and timeliness
Perform bank reconciliations to maintain financial accuracy and stability
Prepare and record journal entries, ensuring all transactions are recorded correctly
Balance the accounts payable and ensure all financial obligations are met
Manage balance sheet accounts, providing regular updates and reports
Provide support during the year-end closing process, ensuring all financial reports are accurate and complete