Accountant

Mintz Group LLCWashington, DC
Hybrid

About The Position

We are seeking a hands-on Accountant to support Mintz Group’s operations across a multi-entity, multi-currency environment. This role focuses on general ledger integrity, reconciliations, and month-end close support. This position requires a detailed-oriented, independent professional who can operate with ownership and accountability in a fast-paced environment. You will play a key role in ensuring accurate, timely, and audit-ready financials, while supporting ongoing process improvements across accounting workflows.

Requirements

  • 5+ years of experience in a similar accounting role
  • Strong NetSuite experience required (daily use; multi-entity experience preferred)
  • Experience working in multi-entity and multi-currency environments strongly preferred
  • Solid understanding of general ledger, reconciliations, and month-end close processes
  • Experience with revenue recognition and billing reconciliations preferred
  • Experience supporting audits and maintaining supporting documentation
  • Strong attention to detail with the ability to manage multiple priorities

Responsibilities

  • Maintain and reconcile general ledger accounts across multiple entities
  • Prepare and post journal entries
  • Complete monthly bank and balance sheet reconciliations
  • Perform reconciliations between revenue and billing data, identifying and resolving discrepancies
  • Support a fast-paced monthly close process (target: 5 business days)
  • Ensure all accounting activity is recorded accurately and in a timely manner
  • Support annual audit preparation through schedules, reconciliations, and documentation
  • Maintain accurate ledger data and support standard accounting activities
  • Provide internal stakeholders and external advisors with required financial reports and supporting documentation
  • Compile and support Work in Progress (WIP) tracking and reporting
  • Partner with finance and operations teams to resolve accounting, billing, and reporting discrepancies
  • Operate independently with limited daily supervision
  • Support month-end and year-end close, including reconciliations and supporting schedules
  • Maintain audit-ready documentation and ensure all balances are fully supported
  • Assist with annual audit preparation and external auditor requests
  • Ensure compliance with US GAAP and firm policies, and support local statutory reporting requirements for international entities where applicable
  • Maintain strong internal controls across accounting processes
  • Identify and implement process improvements across accounting and close workflows
  • Support ongoing NetSuite optimization and financial systems enhancements
  • Help streamline accounting operations in an evolving and growing environment

Benefits

  • comprehensive medical coverage
  • parental leave
  • generous PTO policy
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