Randstad Hybrid (Harrisburg, PA, USA)
Prepare or review ledger account reconciliations, including bank accounts, prepaid and other assets, liabilities and credit cards. Adhere to internal financial controls as directed by the Company’s Sarbanes-Oxley narratives, including sales journal verifications, bank, general ledger and subsidiary ledger account reconciliations, revenue testing, and other tests and procedures as required. Prepare and/or review general ledger entries and present financial reports on a monthly basis. Prepare or assist in the preparation of various schedules and supporting documents as required. Assist with other team activities, communicating both verbally and in writing with other team members and property-level associates. Comply with attendance rules and be available to work outside established schedule as needed to meet critical deadlines.