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Job Description
Responsibilities
:• Prepare daily and monthly journal entries.
• Provide monthly measures and reports for internal customers.
• Work with global teams
• Provide support for monthly reconciliation of balance sheet accounts
• Research and resolution of transaction details.
• Develop and drive process improvements
• Reconcile, analyze, and review general ledger accounts in preparation for month end close.
• Provide support for special projects, ad hoc requests, and other duties as assigned.
• Be a liaison with the business to evaluate, administer, account, and report out by applying Penske's accounting policies and Generally Accepted Accounting Principles (GAAP).