Dynamic Staff Accountant Opportunity to drive financial accuracy and optimize cash flow, supporting critical functions such as cash management and financial reporting.
Requirements
- Strong understanding of daily cash monitoring and reconciliations
- Experience processing and posting invoices, credit/debit memos, and correcting journal entries
- Ability to review and analyze transactions for discrepancies and accuracy
- Proficiency in preparing and reviewing monthly financial statements and supporting documentation
- Skilled in account analysis, bank reconciliations, and fixed asset schedules
- Excellent attention to detail and organizational skills
- Strong communication skills for managing collections and inquiries
- Knowledge of accounting software and ERP systems
Benefits
- Annual bonus opportunity
- Opportunities for advancement