Accountant Ii
Current• Compile information and assembled settlement documentation for final payout• Review settlement documentation of team members and provide feedback/direction• Serve as the liaison between the Finance department and other departments• Build and maintain Excel workbooks, utilizing functions such as VLOOKUP and Pivot Tables• Assist in preparing and reviewing Month End AP accruals and balance sheet reconciliationsSkills: Microsoft Excel, Collaboration, Adaptability, Project and Time Management, Problem Solving, Written Communication, Verbal Communication, Critical Thinking, Attention to Detail, Prioritizing, Leadership