Sr. Accountant (72479)

ValcourtThe Woodlands, TX
$75,000 - $85,000Onsite

About The Position

The Sr. Accountant will obtain a thorough understanding of the business operations, financial systems, and the general ledger structure. This role involves recording intercompany transactions across multiple entities, resolving discrepancies, and collaborating with internal teams to ensure accurate financial reporting. The position also includes managing assets, preparing reconciliation reports, performing month-end close activities, and identifying opportunities for process improvement.

Requirements

  • Excellent organizational skills and attention to detail
  • Excellent time management skills with a proven ability to meet deadlines
  • Strong analytical and problem-solving skills
  • Ability to prioritize tasks
  • Ability to function well in a high-paced and at times stressful environment
  • Proficient with Microsoft Excel and aptitude for ERP systems including NetSuite
  • Experience with Intercompany transactions
  • 3-5 years of experience in a GL focused accounting role
  • Accounting degree from an accredited university
  • Ability to work collaboratively with personnel at various branches
  • Excellent communication skills
  • NetSuite and advanced Excel experience

Nice To Haves

  • Experience with captive business insurance, self-funded medical insurance plans and multi-state sales tax filings are a huge plus

Responsibilities

  • Obtain a thorough understanding of the business operations, financial systems and the general ledger structure
  • Record intercompany transactions across multiple entities and resolve discrepancies in a timely manner
  • Collaborate with internal teams to investigate and resolve any issues related to intercompany transactions, ensuring transactions are appropriately reflected in the financial statements
  • Record assets and maintain fixed assets module
  • Prepare and review intercompany reconciliation reports for management review
  • Perform month-end close activities including preparing journal entries, accruals and balance sheet account reconciliations
  • Interact with other operational groups to ensure transactions are appropriately reflected in the financial statements
  • Identify opportunities for process improvement and implement best practices for intercompany reconciliations
  • Conduct and support ad hoc finance and accounting requests and assignments, as assigned
  • Cross train and assist with bank reconciliations as needed
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