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Month-End Cash Reconciliation Specialist

JD Finish Line

JD Finish Line is seeking a Cash Reconciliation Accountant to manage month-end cash accounting across Cadency and Workday. You will prepare accruals, validate balances, and ensure cash sub-ledgers align with the general ledger while maintaining SOX-compliant documentation. Responsibilities include posting manual EIB journal entries, leading monthly closes, and performing Revenue-to-Cash reconciliations across all five fascias. #J-18808-Ljbffr JD Finish Line

Vacancy posted 2 days ago
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