Perform accurate month end closing processes to generate financial reportsPerform various account reconciliations and work to resolve any discrepanciesAnalyze financial reports pre-close and post-close to determine trends, estimates, and significant changesMaintain revenue recognition standards (ie: invoicing, discounts, rebates) and associated costsAssist with various projects as well as audit and tax requestsAssist in government compliance issues, such as taxes and required state reportingPerform monthly and ad-hoc reports to the executive team