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Review and reconcile general ledger accounts, ensuring proper documentation and support for all balances. Highlighting as required areas of risk and opportunity against budgets and forecasts Conduct variance analysis to identify discrepancies in financial results and assist in providing explanations and recommendations for improvement Help maintain and update general ledger accounts, ensuring proper documentation and support for all transactions Identify opportunities for process improvements and efficiencies within the close, consolidate, and report process Provide assistance during external audits, including preparing audit schedules and responding to auditor inquiries Perform other ad-hoc tasks and projects as assigned by management to support the accounting team