Key Responsibilities:Posting monthly journal entries (intercompany, lease accounting, etc.)Periodic bank statement reconciliationsRecord field bank account activityGeneral ledger account reconciliations for assigned accountsPost daily deposits to customer accountsSales use tax reportingUS to International reconciliationsFixed Asset Account Reporting MaintenanceSupport to the month-end and year-end close processAssist with external audits and reviews as assignedOther administrative duties or projects as...