- Assist in coordination of month end and year end closings processes with/for all entities.
- Maintain general ledger, account reconciliations and work papers.
- Assist in preparation monthly, quarterly, and annual consolidated financial reports
- Process accounts payables for various entities
- Process/Review daily reports
- Review financials of all entities ensuring reporting consistency across all entities
- Recommend design, assist implementation of, and monitor accounting and internal control systems to ensure transactions are properly recorded and assets are safeguarded.
- Review accounting processes to ensure accuracy and efficiency.
- Aid site finance teams to supplement staffing and ensure timely completion of work.
- Participate in ad-hoc projects as directed.
- Fulfill other duties as assigned.