Analysis Skills, Cash-Basis Accounting, General Ledger Accounting, Identify Issues, Java IDE (Integrated Development Environments), Journal Entries, Operational Support, Problem Solving Skills, Reconciliation, Time Management
LOCATION
Ankeny, IA
POSTED
30+ days ago
Execute daily operational tasks to support the team in meeting established service levels and performance goals.
Collaborate with branch locations, internal departments, and all levels of management to identify and resolve issues effectively.
Reconcile bank accounts for multiple locations using bank statements, general ledger data, and JDE, ensuring timely resolution of reconciling items.
Prepare and post month-end journal entries based on completed reconciliations.
Analyze and resolve complex issues within JDE independently or in collaboration with others, ensuring timely and accurate outcomes.