Job Description
Job Description
- Reconcile balance sheet accounts monthly, prepare routine and adjusting journal entries, maintain general ledger accounts, and generate financial statements.
- Review unallocated and suspense account balances, ensuring accuracy in all accounts.
- Assist in preparing annual tax filings, manage state nexus requirements, and coordinate with external accountants.
- Prepare, monitor, and analyze the annual budget, addressing anomalies with senior management.
- Manage daily cash reports, positive pay systems, and bank account activity, recommending funding strategies.
- Monitor internal controls, report inconsistencies, and develop strategies to enhance accounting processes.
- Assist with vendor / client requests, insurance renewals, collections monitoring, and other administrative tasks.
Requirements
Bachelor’s degree in accounting or a related field required.
Minimum of 3 years of accounting experience preferred.
Proficiency in Microsoft Excel,
Benefits
MedicalDentalLife / AD&DLTD401kFSAHSAVacationSick DaysPersonal Days