About the Opportunity · Complete TMS interface batch reconciliations and postings. · Ensure accurate and timely completion of month-end procedures, including invoice posting, cost allocations, accruals, intercompany transactions, and other related activities. · Assist in developing
About the Opportunity Month-end and monthly reporting 75% GL Accounting / 25% Cost Accounting Balance sheet reconciliations Journal entries and account reconciliations Support financial statements after 6–8 months Assist with audits and tax filings Support and