Responsible for P&L and Balance Sheet accounting across multiple functional areas — including accruals and prepaids, fixed assets, leases, payroll, intercompany, cash and bank reconciliations, and AP/AR subledger activity — to include journal entries, account reconciliations, account analysis, and schedules. Support onboarding of newly acquired entities into the shared services model, including chart of accounts mapping, opening balance validation, and transition of close activities across multiple entities and ledgers.