• Location: USA, Texas, Houston
  • Date Posted: 14th Aug, 2020
  • Reference: 08142020nw
Responsibilities:

* Performs full-cycle NetSuite accounting and month-end close activities (including AR, AP, intercompany transactions, journal entries, account reconciliations, multi-currency accounting, consolidations)
* Provides accounting support to other groups within the company (including Business Development, Project Management, Financial Planning & Analysis, etc. )
* Reviews invoices, expense reports, and credit card reconciliations for appropriate coding and adherence to corporate policies and procedures
* Prepares audit working papers and liaises with Financial Reporting group and external auditors
* Identifies and assesses areas for process improvements and efficient workflows while ensuring adequate internal controls