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Support month-end close, including journal entries, accruals, and account reconciliations. Maintain and reconcile general ledger accounts within Dynamics 365 / Business Central. Assist with AP/AR oversight, ensuring accuracy in subledger activity. Perform bank and balance sheet reconciliations; investigate and resolve discrepancies. Prepare and analyze financial reports to support leadership decision-making. Assist with fixed assets, prepaids, and expense tracking. Partner cross-functionally to improve accounting workflows and system efficiencies. Support audit preparation and documentation as needed.
Job Responsibility
Support month-end close, including journal entries, accruals, and account reconciliations
Maintain and reconcile general ledger accounts within Dynamics 365 / Business Central
Assist with AP/AR oversight, ensuring accuracy in subledger activity
Perform bank and balance sheet reconciliations
investigate and resolve discrepancies
Prepare and analyze financial reports to support leadership decision-making
Assist with fixed assets, prepaids, and expense tracking
Partner cross-functionally to improve accounting workflows and system efficiencies
Support audit preparation and documentation as needed
Requirements
3+ years of accounting experience (Staff Accountant or similar)
Hands-on experience with Microsoft Dynamics 365 / Business Central required
Strong understanding of GAAP and full-cycle accounting
Experience with month-end close in a deadline-driven environment