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This role is instrumental in the management and oversight of our accounting department, contributing significantly to the efficient financial operation of our organization. The successful candidate will be tasked with managing the month-end close process, maintaining accurate account records, and streamlining accounting processes for increased efficiency and accuracy.
Job Responsibility:
Manage month-end close process for newly acquired entities
Maintain complete and accurate account records including General Ledger, Income Statement and Balance Sheet reporting
Manage the reconciling of balance sheet accounts and income statement accounts for newly acquired entities
Streamline accounting processes for increased efficiency and accuracy
Implement and monitor accounting policies and procedures for newly acquired entities
Collaborate with cross-functional teams on acquisitions, financial matters and projects
Manager and support audit activities, providing necessary documentation and explanations
Oversee the vendor bill and employee expense report process, including expense repot payment process to ensure payments made within terms for newly acquired entities
Requirements:
Bachelors degree in Accounting, Finance, or similar
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