Prepare journal entries in the HITS system for monthly account preparation.
Assist the Finance Manager in finalizing monthly financial statements, including income statements, balance sheets, and trial balances.
Develop audit schedules for financial statement items on a monthly basis.
Ensure accuracy of general ledger balances against sub‑ledgers in the system.
Confirm stock‑take counts before submission to the Finance Manager for posting.
Compile monthly reports from support functions (Talent Management, Nursing, Marketing, Customer Service, Business Office, and Maintenance) and consolidate them into the monthly management report.
Perform cash counts twice daily (morning and afternoon) and reconcile physical collections with HITS system records; report any discrepancies immediately.
Draft monthly financial reports with supporting schedules for review by the Finance Manager.
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