GL, Close & Reporting | Multi-Entity Exposure | Full BenefitsThis Jobot Job is hosted by: Christina Chariott
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Salary: $54,275 - $58,925 per year
A bit about us:A major company in the Northern Albuquerque area is looking for an Accountant to join its team. This role will be supporting multiple entities and day-to-day accounting. This position includes regular involvement with the general ledger, month-end close, reconciliations, financial reporting, intercompany activity, fixed assets, audit support and AP/AR.
This is a full-time position with broad exposure across the accounting function and the opportunity to work closely with accounting leadership on recurring accounting responsibilities, reporting and process improvements.
Why join us?- Broad GL, close and reporting exposure
- Multi-entity accounting environment
- Hands-on role with visibility across the accounting function
- Work closely with accounting leadership
- Full benefits + paid time off
- Stable, privately held company
Job DetailsResponsibilities
- Prepare and post journal entries as part of the monthly, quarterly and year-end close
- Perform general ledger and balance sheet account reconciliations
- Reconcile bank accounts, credit cards and other balance sheet accounts
- Review general ledger activity and research account variances, discrepancies and reconciling items
- Prepare and maintain supporting schedules for monthly financial reporting
- Assist with preparation and review of financial statements
- Record and reconcile intercompany activity across multiple entities
- Maintain fixed asset schedules, including additions, disposals and depreciation
- Support accounts payable and accounts receivable activity as needed
- Review account coding and classifications for accuracy and proper GL treatment
- Prepare schedules and supporting documentation for audits and other financial reviews
- Assist with month-end accruals, prepaid expenses and other recurring accounting entries
- Maintain accurate accounting records and supporting documentation across multiple entities
- Assist with accounting process improvements, documentation and internal controls
- Support ad hoc reconciliations, reporting and accounting projects as needed
Qualifications
- Hands-on accounting experience across general ledger, reconciliations and month-end close
- Experience preparing journal entries, reconciliations, accruals and supporting schedules ideally
- Working understanding of financial statements and balance sheet accounts
- Experience researching account variances and reconciling discrepancies
- Experience with intercompany accounting, fixed assets and audit support is a plus
- Strong Excel skills, including formulas, lookups and pivot tables
- Accounting or Finance degree preferred; equivalent hands-on accounting experience will also be considered
Interested in hearing more? Easy Apply now by clicking the "Quick Apply" button.
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