Job Description
We are seeking an accountant responsible for performing bank reconciliations, researching reconciling items, preparing journal entries, and maintaining supporting documentation to ensure cash transactions are accurate, complete, and audit-ready. Supports month-end close activities and partners with Accounting, Treasury, and AR teams to resolve discrepancies.
Work Location: Up to 3 days on-site Loveland, CO
Duration: 12 months
Pay Rate Range: $45/hr-$60/hr
+ Perform daily, weekly, and monthly bank reconciliations.
+ Research and resolve reconciling items and cash discrepancies.
+ Prepare and post journal entries related to cash activity.
+ Obtain, validate, and retain supporting documentation for transactions and reconciliations.
+ Support month-end close and balance sheet account reconciliations.
+ Ensure compliance with internal controls and audit requirements.
+ Identify process improvement and automation opportunities.
+ Prov...
Work Location: Up to 3 days on-site Loveland, CO
Duration: 12 months
Pay Rate Range: $45/hr-$60/hr
+ Perform daily, weekly, and monthly bank reconciliations.
+ Research and resolve reconciling items and cash discrepancies.
+ Prepare and post journal entries related to cash activity.
+ Obtain, validate, and retain supporting documentation for transactions and reconciliations.
+ Support month-end close and balance sheet account reconciliations.
+ Ensure compliance with internal controls and audit requirements.
+ Identify process improvement and automation opportunities.
+ Prov...