About the Role
The role involves assisting with accounting operations, including journal entries, account reconciliations, and financial documentation while ensuring accuracy and compliance.
Responsibilities
- Prepare and post monthly journal entries for various accounts
- Conduct account reconciliations for balance sheet and income statement items
- Support the month-end and year-end closing processes
- Assist in the preparation of financial statements and reports
- Maintain general ledger accuracy and integrity
- Respond to audit inquiries and provide supporting documentation
- Monitor and track prepaid expenses and fixed assets
- Collaborate with team members on financial close timelines
- Ensure compliance with accounting standards and internal policies
- Identify and resolve discrepancies in financial data
- Assist in budgeting and forecasting activities
- Generate recurring financial reports for management review
- Update and maintain accounting records in a timely manner
- Participate in process improvement initiatives
- Support internal control documentation and testing
Nice to Have
- CPA candidate or certification in progress
- Experience in a public accounting or audit role
- Advanced Excel skills including pivot tables and formulas
- Knowledge of automated accounting workflows
- Experience in a multi-entity or consolidated reporting environment
Compensation
Competitive salary based on experience and qualifications
Work Arrangement
Hybrid work model with office and remote options
Team
Collaborative finance team within a growing organization
Why Join Us
- Opportunity to grow within the finance department
- Supportive environment that values professional development
- Involvement in key financial processes and reporting
Technology Stack
- Sage Intacct for core accounting functions
- Microsoft Office Suite with heavy Excel usage
- Cloud-based document management systems
Not available for this position