Provide appropriate, consistent, and timely communication with internal/external stakeholders to achieve profitable results and growth of the US Operations.· Assist with all aspects of the month-end close including booking journal entries, accruals, reversing entries, and reconciliations. Assist with payroll administration duties, including payroll journal entry. Handle vast array of financial reporting and accounting functions. Assist in reconciliation of bank accounts, analysis of periodic financials, and preparation of budgets. Reconcile T&E, Petty Cash, and Prepaid accounts.