GL Cash and Bank Accountant
About this role
About the Role Flowserve is seeking a GL Cash and Bank Accountant to join their Finance & Accounting team in Querétaro, Mexico. This role focuses on general ledger cash and bank activities and contributes to accurate and timely financial reporting. What You'll Do
- Manage cash and bank transactions and postings to the general ledger.
- Reconcile cash and bank accounts and investigate discrepancies.
- Support month-end close activities and ensure timely, accurate financial reporting.
- Maintain internal controls over cash management processes. What We're Looking For
- Experience in finance and accounting roles (as implied by the job title).
- Familiarity with general ledger and cash/bank reconciliation processes.
- Strong analytical and problem-solving skills with attention to detail.
- Effective communication and collaboration within a finance team. Compensation & Benefits
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