The position also performs complex account reconciliations, accruals, complex account and sub ledger reconciliations; gathers, compiles, interprets, analyzes, records, tracks, and reports financial information and transactions; maintains, balances and reconciles assigned accounts and records; prepares and maintains accurate financial records and reports; and provide assistance to Agency staff related to financial analysis and reporting activities. Controls and monitors assigned accounts or financial process to ensure accuracy, proper documentation, and compliance with all pertinent procedures and regulations; prepares reports and statements; applies review techniques and applies accounting practices and principles to ensure the integrity and accuracy of recorded information and adjusts accounts as necessary by preparing moderately complex journal entries.