GL Accountant

Wheeler Machinery CoSalt Lake City, UT

About The Position

This role, reporting to the Assistant Controller, plays an important role in the accounting department by assisting with day-to-day accounting operations to ensure the monthly, quarterly, and year-end close is done accurately and timely. This position involves preparing reconciliations, posting payroll, recurring, and other journal entries as needed, and other tasks assigned by the Assistant Controller.

Requirements

  • Bachelor’s degree in Accounting, Finance, or related field.
  • Proficiency in accounting software and ERP systems as well as Microsoft Excel.
  • Excellent analytical, problem-solving, and communication skills are necessary for success in this role.
  • Able to work some off-hours necessary to complete the close process.
  • High level of integrity and attention to detail.
  • Ability to work as part of a team in a fast-paced environment.

Nice To Haves

  • 3-5 years working knowledge in accounting a plus.

Responsibilities

  • Reconcile bank accounts weekly, including the recording of monthly fees, credit card, controlled disbursements, and monthly client analysis as needed for other charges.
  • Maintain the Company’s petty cash and reconcile regularly.
  • Reconcile customer and other receivable accounts and coordinate with the necessary departments to ensure reports are accurate.
  • Update and maintain all prepaid accounts and ensure each item is amortized accurately.
  • Prepare weekly and biweekly payroll journal entries prepared by Payroll Department. Coordinate any changes or reconciling items with Payroll Department.
  • Prepare journal entries to properly allocate benefits across the Company, including preparation of medical and dental accruals based on estimates.
  • Reconcile all accrued liability accounts, including rental insurance, tax liabilities, and deferred revenue accounts. Ensure that all accruals made are accurate and complete. Coordinate with operating departments on outstanding items.
  • File monthly sales tax returns to ensure tax compliance.
  • Reconciling special project accounts and sending the reports to the operating departments each month. Coordinate with Assistant Controller on revenue recognition needs.
  • Reviewing operational transaction errors and coordinating with those responsible to ensure they get corrected.
  • Reconcile the Company’s warranty accounts and work closely with the Warranty Department to ensure warranties are enrolled and claims are filed timely.
  • Prepare journal entries to allocate Company fleet costs to the appropriate department and reconcile the fuel account. Coordinate with Fleet Department with any corrections that need to be made.
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