Accountant - Treasury & Corporate Spend

A-Core Concrete SpecialistsMurray, UT
Onsite

About The Position

A-Core is seeking a detail-oriented Accountant to support the accuracy, timeliness, and control of our multi-entity accounting operations. This role owns a substantial portion of daily banking and treasury activity, spend and credit-card review, and month-end reconciliation. The successful candidate will be comfortable moving between recurring daily work, research-heavy reconciliations, and deadline-driven close responsibilities while maintaining clear documentation and strong internal controls.

Requirements

  • Up to three years of professional or educational accounting experience, including reconciliations, transaction review, or general-ledger support.
  • Working knowledge of GAAP, account reconciliations, journal entries, and month-end close principles.
  • Strong Excel skills and the ability to learn and work effectively in accounting and expense-management systems.
  • Exceptional organization, follow-through, and attention to detail, with the ability to manage daily deadlines and monthly close priorities simultaneously.
  • Sound judgment when reviewing transactions, identifying exceptions, researching discrepancies, and protecting sensitive financial information.
  • Clear written and verbal communication skills and the ability to collaborate across accounting, operations, and management teams.

Nice To Haves

  • Experience in construction accounting, multi-entity accounting, job costing, treasury operations, or corporate credit-card administration.
  • Experience with Excel, ComputerEase, Acumatica, Cenpoint, Bill Spend & Expense (or similar accounting, spend-management platforms), and AI tools such as Claude or Chat GPT
  • Associate's or Bachelor's degree in Accounting

Responsibilities

  • Perform daily bank reconciliations across multiple companies and accounts; download prior-day activity, identify exceptions, and research differences promptly.
  • Monitor bank activity for returned items, chargebacks, unusual transactions, and other time-sensitive issues; coordinate supporting information and follow-up.
  • Prepare journal entries related to banking activity and provide transaction research to support cash application and account resolution.
  • Maintain bank and credit-card statements and prepare weekly and month-end treasury analyses, including account activity, balances, concentration reporting, and cash-assessment support.
  • Analyze credit-card fees and related expenses to compare amounts collected with processing costs incurred.
  • Review and approve spend and expense transactions with an auditor mindset, confirming appropriate coding, documentation, receipts, and business purpose.
  • Prepare monthly spend-transaction files for accounts payable; correct coding and invalid combinations, resolve intercompany items, and upload company files for close.
  • Administer spend-platform users, cards, budgets, jobs, and divisions; issue, freeze, and maintain cards as employee or organizational needs change.
  • Process recurring vendor activity, including weekly Fuelman payments and related statement retention.
  • Prepare and roll forward month-end close workbooks, update reporting periods, refresh trial balances, and verify that supporting schedules balance.
  • Maintain organized supporting documentation and perform other related accounting duties as assigned.

Benefits

  • paid time off when eligible
  • Insurance benefits when eligible (after 60 days)
  • 401K when eligible (after 60 days)
  • Growth opportunities with a great company
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