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Staff Accountant

Careerbuilder US

This is a Contract position in Mulberry, FL posted July 29, 2021.

Job description Edit As the Staff Accountant you will be responsible for all accounting activities as well as financial reporting to support operations and ensure compliance with generally accepted accounting principles (GAAP).

RESPONSIBILITIES:
· Ensure that payables are paid in a timely manner
· Ensure that customers are billed on a timely basis and in compliance with revenue recognition principles
· Ensure receivables are collected promptly and issue weekly status report
· Reconcile bank and balance sheet accounts on a monthly basis
· Prepare weekly cash forecasts and manage cash balances
· Prepare information for annual external audit and tax return preparation KNOWLEDGE, SKILL, & ABILITIES:
· Excellent computer skills absolutely required
· Advanced Excel skills a must
· Strong sense of urgency and commitment to meeting deadlines
· Effective verbal and written communication skills
· Organized and detail oriented
· Ability to work independently and assume a more responsible role with time EDUCATION & SKILLSET:
· Bachelor’s degree in accounting
· Experience in QuickBooks and ADP is a plus Job Requirements: Prepare month-end journal entries for financial statements Prepare monthly journal entries and account reconciliations Prepare monthly journal entries and bank reconciliations Preparing month-end journal entries Preparing month end journal entries Prepare journal entries and month end account reconciliations Prepare Corporate accounting journal entries and prepare monthly balance sheet reconciliations Prepare journal entries, accounting reconciliations and month-end close procedures Importing journal entries into accounting software Approve journal entries and account reconciliations Preparing journal entries and account reconciliations Execute monthly journal entries and close accounting periods Preparing journal entries and reconciliations Prepare journal entries and reconciliations Prepare journal entries and bank reconciliations Maintain monthly balance sheet account reconciliations Prepare monthly balance sheet account reconciliations Review monthly balance sheet account reconciliations Prepare journal entries, bank reconciliations and account reconciliations/analysis Prepare monthly balance sheet reconciliations