Prepare assigned monthly account reconciliations for lower- to moderate-complexity balance sheet and operating accounts, including AP, AR, clearing accounts, prepaid expenses, deposits, advances, cash-related accounts, and other accounts assigned by the Accounting Manager or Controller. The position supports a lean, highly automated accounting function and has primary responsibility for accounts payable, accounts receivable and project billing, cash application, bank reconciliations, employee and contractor expense processing, assigned monthly account reconciliations, and month-end close support.