This position reports to the Assistant Controller and is responsible for the monthly reconciliation of all campus controlled bank accounts. This position will prepare monthly entries and will assist with review, approval and posting of all journal adjustments prepared by campus departmental users. This position is responsible for financial support functions including paycycle processing, campus cash account audits, review and entry of direct retros, and QuickBooks oversight.
For more information and full position responsibilities, please see the full position announcement.
To ensure consideration, please apply by Thursday, October 18, 2018.