About this role
Essential Functions
• Prepare and review monthly journal entries, including payroll, fixed assets, p-card, commissions, tax accruals, general accruals, and other general ledger adjustments
• Maintain and reconcile balance sheet accounts, ensuring accuracy and timely resolution of reconciling items
• Assist with the daily and monthly cash reconciliation processes, including cash sheets and bank account reconciliations
• Perform administrative duties to support the ongoing monthly reconciliations across multiple entities
• Assist with month-end, quarter-end, and year-end close processes across multiple entities
• Prepare financial analyses and supporting schedules for management reporting, audits, and regulatory requirements
• Assist identifying process improvements to enhance efficiency and accuracy within accounting operations
• Assist with external audit/review processes, including preparation of schedules, supporting documentation, and auditor/commission requests
• Maintain strong internal controls, ensuring proper segregation of duties and compliance with company procedures
• Deliver internal and external customer service in line with company culture and values and ensure compliance with all company policies and federal, state and local laws
Knowledge, Skills & Abilities
• Ability to work independently and effectively manages multiple priorities in a fast-paced, dynamic environment
• Ability to sit, stand, and walk for extended periods and move throughout all areas of the property, including stairways and escalators
• Ability to lift, carry, push, pull, and move up to 50 pounds, and perform activities such as reaching, bending, twisting, stooping, and kneeling
• Ability to respond appropriately to visual and auditory cues and communicate clearly and persuasively.
• Manual dexterity sufficient to operate a computer and standard office equipment.
• Ability to uphold and demonstrate the highest level of integrity in all situations and recognize standards required by a regulated business.
• Ability to read, analyze, and interpret general business periodicals, professional journals, technical procedures, or governmental regulations
• Ability to write reports, business correspondence, and procedure manuals.
• Must be available to work flexible schedules, including evenings, weekends, holidays, and special events as business needs require.
• Must be able to read, write, speak, and understand English.
• Excellent analytical and problem-solving skills
Education and Experience
• Bachelor's degree. Accounting, finance, or business preferred
• Minimum of 2-4 years of progressive accounting experience, preferably including experience in a multi-entity or regulated environment
• Strong technical knowledge of U.S. GAAP and accounting practices, with demonstrated proficiency in financial reporting systems, ERP platforms, and Microsoft 365 applications
Required Certification/License
• Ability to obtain a Casino Gaming Employee (CGE) license within the State of Ohio.