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Job Summary:
β’ Prepare journal entries and balance sheet reconciliations in support of month-end closing activities for multiple business units, using BlackLine, and ensuring proper documentation is obtained.
β’ Perform netting activities for Evoqua units.
β’ Reconcile sub-ledgers to the general ledger identifying and correcting out of balances, addressing their causes, resolving the possibility of future issues
β’ Respond to inquiries regarding general ledger balances
β’ Processing of month end accrual entries.
β’ AR clearing & Account reconciliation for payment made through credit card via Paymentech & CardX.
β’ Perform period end Intercompany balancing.
β’ Assist with adhoc projects and analysis as requested
β’ Assist with interim and annual audits
β’ Maintain applicable SOX controls
β’ Ensure all supporting documentation is in compliance with Sarbanes-Oxley guidelines
β’ Consistently evaluate are...