Staff Accountant

Champions Group HoldingsBrea, CA
$35 - $37Onsite

About The Position

Champions Group Holdings is a fast-growing Heating and Air Conditioning, Plumbing, and Electrical Home Services Company, and we are looking to add a key member to our Accounting team. The Staff Accountant will oversee the accounting for several assigned areas, including balance sheet reconciliations, payroll accruals, month-end accruals, prepaid assets, cash transactions, and ad-hoc reporting and analysis. Knowledge of U.S. GAAP, general ledger systems and treasury functions are key requirements for this role. The ideal candidate will be self-driven and detailed oriented while providing actionable insight through analysis of trends within financial reports and schedules.

Requirements

  • Education or experience equivalent to a BS degree in Accounting, Business, or Finance and 2+ years of experience in a busy accounting department handling similar functions.
  • Experience as a Staff Accountant or similar role in a multi-entity, multi-site organization
  • Solid knowledge of U.S. GAAP.
  • Experience meeting month end close deadlines, preparing journal entries and performing account reconciliations.
  • Hands-on experience with general ledger systems (preferably SAGE Intacct), fixed asset software, and travel and expense software (e.g. Concur or equivalent).
  • Proficiency and experience with intermediate MS MS Excel capabilities including v-lookups, pivot tables, SUMIF formulas.
  • Ability to work in a multi-entity and multi-site environment.
  • Excellent verbal and written communication skills.
  • Strong organizational skills and ability to multi-task.

Nice To Haves

  • Relevant certification in Accounting or higher education (e.g., Masters in Accounting) is a plus.

Responsibilities

  • Support preparation of internal and external financial statements in accordance with GAAP.
  • Prepare journal entries across key balance sheet and income statement accounts for multiple entities.
  • Review and reconcile company credit cards and cash for multiple entities.
  • Prepare monthly balance sheet reconciliations.
  • Prepare and review supporting schedules for key accounts.
  • Day-to-day treasury functions, including the accounting for cash transactions, exception reporting, positive pay data files, and daily cash reporting.
  • Monitor and report on the Company’s capital expenditure.
  • Analyze financial results, investigate variances, and provide insights to management.
  • Develop process documentation, policies and procedures and provide recommendations for continued improvements to existing processes.
  • Ensure compliance with Company policies and promote an effective control environment.
  • Assist with and prepare schedules and other deliverables for the annual audit.
  • Assist in drafting and maintaining accounting policies and procedures.
  • Collaborate with various departments across the organization.
  • Ad hoc reporting and projects as needed.

Benefits

  • Competitive Pay with performance-based bonuses.
  • Career Growth Opportunities – We promote from within.
  • Comprehensive Benefits: Medical, dental, and vision insurance
  • 401(k) with company match
  • Paid vacation, holidays, and sick leave
  • Positive Work Environment: Supportive and team-oriented.
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service