Corporate Accountant

CLEAN SCAPES LLCAustin, TX
19d$70,000 - $90,000Onsite

About The Position

As a key member of Clean Scapes, the Corporate Accountant is essential for maintaining accurate, GAAP compliant financial reporting and supporting a reliable, timely month end close process. Your role strengthens internal controls, reduces the risk of errors or audit findings, and enhances the quality of financial information used by leadership for decision making. By managing routine and technically complex accounting tasks, this position frees senior finance leaders to focus on strategic planning, analysis, and process improvements. As the company grows, the Corporate Accountant also will help ensure the scalability, efficiency, and stability of core financial operations.

Requirements

  • Bachelor’s degree in Accounting, Finance, or related field required.
  • 2–5 years of corporate or public accounting experience.
  • Strong knowledge of GAAP and corporate accounting principles.
  • Proficiency with ERP systems (e.g., NetSuite, Oracle, SAP, Microsoft Dynamics).
  • Advanced Excel skills (VLOOKUP, pivot tables, modeling).
  • Strong analytical thinking, attention to detail, and problem solving abilities.
  • Ability to manage multiple priorities and meet deadlines.

Nice To Haves

  • Master's degree preferred.
  • Auditing experience a plus.

Responsibilities

  • General Ledger Management Maintain and reconcile general ledger accounts.
  • Ensure accurate and timely month end and year end closings.
  • Prepare and post journal entries, accruals, and adjustments.
  • Compliance & Controls Ensure adherence to GAAP and company accounting policies.
  • Support internal and external audits by preparing schedules and documentation.
  • Help maintain a strong internal control environment.
  • Operational Accounting Review and reconcile accounts payable, accounts receivable, and payroll entries.
  • Monitor fixed assets, depreciation schedules, and capital spending.
  • Assist in cash flow forecasting and intercompany and bank reconciliations.
  • Treasury Management Monitor daily cash activity and maintain accurate cash position reporting.
  • Manage banking relationships and support the setup of new accounts, services, and user access.
  • Process and track wire transfers, ACH activity, and other banking transactions.
  • Maintain treasury related internal controls, documentation, and compliance requirements.
  • Process Improvement Identify opportunities to streamline accounting and treasury processes.
  • Participate in financial system upgrades, automation, and reporting enhancements.
  • Collaborate on cross functional projects to improve financial operations.

Benefits

  • We value the longevity of our employees and offer a competitive compensation plan.
  • Salary is commiserated with experience.
  • This is a full time, in person, W2 employee position.
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