Position Overview
Description
Our client in the Flowood, MS area is seeking an Accounting Specialist to support cash management and reconciliation processes across a multi-location retail environment. This role plays a key part in ensuring transaction accuracy, resolving discrepancies, and supporting overall accounting operations.
This position offers strong visibility across the organization, with regular interaction with Retail General Managers, Operations teams, internal accounting staff, and vendors.
Key Responsibilities
+ Perform daily, weekly, and monthly bank reconciliations across multiple accounts and locations
+ Investigate and resolve discrepancies between bank activity and general ledger transactions
+ Partner with retail locations to validate deposits, funding activity, and cash-related transactions
+ Track and manage outstanding reconciliation items, ensuring timely resolution and documentation
+ Maintain accurate and...