Staff Accountant

Robert Half
Published
March 27, 2021
Location
Carmel, IN
Category
Job Type

Description

Ref ID: 01400-0011734506

Classification: Staff Accountant

Compensation: $48000.00 to $52000.00 yearly

This full-time Staff Accountant position is with a terrific Real Estate Property/Facilities Mgt company. Candidates looking for strong compensation, excellent benefits, and career advancement should consider this position. Do you want to work for a thriving, fast-paced company that recognizes talent and effort? Robert Half Finance is looking for ambitious, detail-oriented Staff Accountants. This company, based in the Carmel, Indiana area, offers a challenging and multi-faceted opportunity where effort is rewarded. This position is for candidates with the ability to prepare journal entries, monthly and year-end closings, bank reconciliation, fixed asset maintenance, and general ledger reconciliation and be responsible for many aspects of internal reporting during the monthly close. If you're looking for work where you will participate in compliance, interact with our external auditors for quarterly reviews and annual audits, and review schedules reporting processes, this role might be right for you. To be preferred for this position, you will need to have a complex understanding Financial Statements, Cash Flow projections, and Budgets.

Your responsibilities in this role

- Produce complex journal entries and account reconciliations which include, but are not limited to, cash, prepaid expenses, and payroll

- Participate in various department-wide initiatives

- Organize schedules for monthly payments and capital lease

- Maintain depreciation, fixed asset ledgers, and reconciliation

- Organize and review various financial data, then report it in a manner that is useful and understandable

- Upon request, take part in special projects and impromptu reporting

- Support the month end, quarter end and year end closing process, which includes monthly financial close workbook preparation

- Compose analyses for income statements and monthly balance sheets for management reporting

- In-depth experience with month end balance sheet account reconciliations

- Regular maintenance and reconciliation of journal entries

- Implement, maintain, and adhere to internal controls and accounting procedures ensuring compliance with GAAP

- Handle intercompany transactions, billings, and reconciliation

- Perform month end close, journal entries, with minimum supervision

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