This position will be responsible for performing the necessary duties required to assist in producing financial statements in a timely manner each month. It will be fulfilling monthly close-related tasks for assigned areas of balance sheet and P/L, which includes journal entries, reconciliations, and analysis. It will also reconcile assigned balance sheet accounts & maintain support folders, review financial statements prepared by others prior to inclusion in monthly financial statement package, act as an accounting business partner to various regional managers. You will also be responsible for all aspects of accounting and reporting for four service locations. If you would be interested, please submit your resume and someone will be in touch.