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In-Office
37067, Franklin, TN, USA
Junior
Junior
Professional Services
Prepare journal entries, reconciliations, and monthly accruals; maintain the general ledger and support month-end close. Reconcile bank and balance sheet accounts, support accounts payable, fixed asset tracking, budgeting, audits, tax filings, and financial reporting. Collaborate with Finance leadership to ensure accurate financial records and support operational initiatives.
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