Manage, co-ordinate and maintain up-to-date general ledger account reconciliations which include bank reconciliations. Manager and co-ordinate all general ledger and sub-ledger clearing. Provide JDE support company wide. Provide full confidential administrative assistance to the General Manager and/or Controller including preparing documents and presentation materials as required.
Must be proficient in Office 365. Must have JDE Lead training with focus on procurement and/or JDE experience.