- Assist with month end closing by completing assigned JEs or tasks timely and accurately
- Complete assigned Balance Sheet reconciliations timely and accurately
- Responsible for New Vendor Setups in NetSuite and completion of required verification procedures
- Prepare weekly reporting used for invoicing and client purposes
- Work alongside Staff Accountant to prepare and distribute monthly invoices to clients within SLA deadlines
- Handle management of client portals for invoice submission
- Prepare monthly accruals for all revenue accounts
- Audit assistance with pulling requested sample details for various items
- Ad hoc projects, as needed
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