Accounts Technician to support daily accounting operations. Duties include bank and account reconciliations, maintaining financial records, preparing journal entries, logging data, assisting with audits, processing transfers, preparing reports, and ensuring accounting procedures are followed. Daily Audit- food and beverage income reconciliation. Identify areas of concern, research overage/shortages, report findings to management. Prepare reports for payroll processing. Other assigned duties in Accounts. Strong accuracy, organization, and accounting knowledge required. Associates or higher in Accounts. Prior experience in Income Reconciliation/Audit. Ability to work weekends as necessary, commute to East End daily. Will complete company application and internal testing during interview process.
4 days remaining