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An established industry player is seeking a detail-oriented individual to join their Treasury department. In this role, you will be responsible for performing monthly bank reconciliations, creating journal entries, and reconciling claims payment activities. This position offers a unique opportunity to support various business units and contribute to special projects, all while enhancing your skills in accounting and finance. If you are organized, motivated, and possess strong communication skills, this role could be the perfect fit for you. Join a dynamic team and make a significant impact in a collaborative environment.
Description
As a member of the Treasury department, you will be responsible for performing monthly bank reconciliations, researching reconciling items, booking journal entries, and performing various other accountant and activity reconciliations.
Primary responsibilities will include but are not limited to:
Qualifications