Manage the Financial Accounting & Reporting and the JIB Accounting groups
Review/approve month-end journal entries and cash entries
Prepare expense accruals, capex accruals, revenue accruals, and depletion entries
Manage accounts in the general ledger within Quorum
Review account reconciliations and the month-end close binder
Prepare various monthly reports, expense/revenue look-backs, and property roll-forwards
Prepare/review financial statements prior to issuance
Review year-end financial statements and notes to financial statements for completeness and accuracy
Assist external audit and tax groups with inquiries
Review/Post JIB entries - rebills, reclasses, payment applications, overhead
Review/Post the monthly JIB cycle