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This long-term contract position focuses on maintaining financial accuracy and ensuring timely processing of transactions. The role requires strong expertise in reconciliations and month-end activities.
Job Responsibility:
Perform detailed bank reconciliations to ensure financial records are accurate and up-to-date
Manage a high volume of ACH and wire transactions, including international transfers
Handle journal entries and maintain the general ledger with precision
Process accounts payable and accounts receivable tasks efficiently
Collaborate with the team to complete month-end financial close activities
Utilize Oracle Cloud and Excel extensively for financial data management and reporting
Ensure compliance with organizational and regulatory accounting standards
Assist in preventing backlogs by staying current with reconciliations
Prepare financial reports and documentation for review by management
Support the team during maternity leave coverage, ensuring smooth operations
Requirements:
Proven experience with bank reconciliations and month-end close processes
Proficiency in Oracle Cloud and advanced Excel functions for financial tasks
Strong knowledge of accounts payable, accounts receivable, and general ledger management
Ability to handle high volumes of financial transactions, including ACH and wire transfers
Solid understanding of journal entries and their impact on financial statements
Exceptional attention to detail and organizational skills
Effective communication and collaboration abilities
Previous experience in a similar accounting role preferred
What we offer:
medical
vision
dental
life and disability insurance
401(k) or deferred compensation plan (if eligible)
paid time off for vacation, personal needs, and sick time