| Position: Junior Accountant |
| Reports to: Accounting Manager | Department: Finance |
| Classification: Exempt | Division: Operations |
Job Summary:
Prepare bank reconciliation and enter journal entries to record monthly activity. Research all cash discrepancies and resolve in a timely manner. Provide support to Finance and Accounts Payable departments
Job Responsibilities:
- Prepare monthly bank reconciliation
- Record monthly cash\lottery transactions
- Research all cash\credit card discrepancies and resolve in a timely manner
- Provide Accounts Payable with a listing of outstanding checks
- Record and monitor all cash\coin transactions
- Prepare sales and payroll reports for internal dissemination
- Prepare all journal entries
- Process Canadian currency deposits
Knowledge, Skill and Ability:
- Strong communication skills, able to interact with managers, bank representatives and other corporate departments
- Excellent organizational skills
- Ability to multitask, prioritize work load, complete day to day activities, and handle all urgent requests
- Strong computer skills - word, excel, outlook, internet explorer, access, Great Plains
Education and Experience:
- Recent college graduate or related bank reconciliation experience
- Bachelor's degree in accounting a plus
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