Perform general accounting duties including reconciliation of various general ledger accounts, preparation and entering of journal entries for posting by the Controller, Provides process improvement support by reviewing procedures, policies, and controls related to cash management, accounts payable, and budgeting. Duties and Responsibilities: Provide schoolwide treasury management support by monitoring and maintaining daily operating cash balances, reconciling bank statements to the General Ledger, processing bank deposits, and reviewing cash transactions for accuracy.