Assist in month-end and year-end close. Post and process journal entries into correct classifications between corporate and individual P&L and balance sheets in alignment with company best practices. Perform monthly balance sheet reconciliations. Relies on experience and judgment to plan and accomplish goals. Performs a variety of tasks. Must be organized and detail-oriented. Proficient Excel knowledge (vlookups, pivot table). Advanced understanding of basic accounting principles and practices required. Bachelor's degree in area of specialty and 0-2 years of experience in the field or in a related area.