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The successful candidate will be joining our team to manage and ensure the accuracy of financial records, provide support during month-end closing, and stay updated with industry standards.
Job Responsibility:
Conducting bank reconciliations and handling investment accounting
Assisting with audit procedures
Keeping track of fixed assets and calculating depreciation
Performing financial analysis and generating reports
Managing general journal entries
Processing expense report tracking and investigating errors
Implementing month-end closing procedures
Utilizing accounting software such as Sage Intacct for various tasks
Staying informed about industry standards and practices
Requirements:
Minimum of 2 years of experience in a Staff Accountant role or similar position
Proficiency in handling Accounts Payable (AP) and Accounts Receivable (AR)
Demonstrated experience in performing Bank Reconciliations
Well-versed with General Ledger operations
Proficiency in creating and managing Journal Entries
Experience in Month End Close procedures
Knowledge and experience in using Sage Intacct software
What we offer:
Medical, vision, dental, life and disability insurance
401(k) or deferred compensation plan
Paid time off for vacation, personal needs, and sick time
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