We're Hiring! Join Our Team As Our Cash Staff Accountant! In this role, you will identify daily activity in bank accounts, reconcile the bank accounts for several different corporate entities, and prepare and maintain general ledger account reconciliations. You will also post journal entries into the general ledger accounting software package, track and maintain the fixed asset ledger, and prepare schedules for reporting of fixed assets. Additionally, you will assist with the preparation of other reports provided to management, year-end audits, month-end financial statements, cash flow statements, and budgets, as well as quarterly and annual tax filings.