North AmericaFull TimeFinance
Remotely
reconciliationsmonth end closejournal entriesbalance sheetsmartvieworacle otbi
Job Description
📋 Description
- Support monthly balance sheet account reconciliation processes across accounts/entities.
- Assist month-end close activities for designated facilities.
- Analyze balance sheet and income statement accounts including assets, leases, revenue, AR.
- Investigate/discrepancies and provide explanations/resolutions.
- Collaborate to prepare and record journal entries with proper support.
- Support budgeting and monthly operating forecasts.
🎯 Requirements
- Bachelor’s degree in Accounting/Finance or related field preferred, or equivalent experience.
- 1–2 years accounting experience preferred; internships/coursework considered.
- CPA designation or progress toward CPA preferred.
- Strong understanding of accounting principles, financial reporting, reconciliations, journal
- Ability to analyze accounts, identify discrepancies, provide explanations/resolutions.
- Attention to detail and accuracy with financial information.
🎁 Benefits
- Annual salary range of $51,611–$69,675.
- Foundational accounting exposure in a multi-entity healthcare environment.
- Exposure to financial reporting, budgeting, forecasting, and audits.
- Professional development and training opportunities.
- Collaborative environment with strong financial controls.
- Opportunity to work with facility leadership and finance teams.
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