Position Responsibilities:
Reconciles cash; prepares daily bank deposits
Reconciles Dispute tool
Update tracking information for brokered accounts
Maintains all checking accounts
Performing analytical review of Month End reports to assist Operations and Accounting in pulling Divisional reporting information
Performing Month End Close activities for some operational entities
Update and maintain quarterly and monthly tracking schedules and reports
Perform roll off billing, credit adjustments, money moves, and NSF fee’s
Update and maintain internal recycle statistics and tracking
Other duties as assigned by Controller and Accounting team
Education Requirements:
Pursuing a Bachelor's Degree in Accounting or Finance
Solid working knowledge of Microsoft Office applications (i.e. Word, Excel, Outlook);
Good communication skills
Highly detailed and able to handle multiple priorities at once
Operate a 10-key adding machine by touch
Maintain regular, reliable and punctual attendance
Waste Connections is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to disability or protected veteran status.