Staff Accountant

Meritage Hospitality GroupGrand Rapids, MI

About The Position

This position plays an integral role in maintaining accurate financial records, supporting compliance requirements, and ensuring timely completion of month-end close activities across the Company’s operating entities.

Requirements

  • Bachelor’s Degree in Accounting, Finance or related field
  • 3–5 years of progressive accounting experience
  • Experience supporting month-end close, account reconciliations, and general ledger accounting
  • Experience working with ERP or accounting systems
  • Strong understanding of GAAP and general ledger accounting
  • Proficiency in Microsoft Excel (pivot tables, lookups, data analysis)
  • Ability to analyze financial data and identify discrepancies

Responsibilities

  • Period-End Close & Financial Reporting Support the month-end close process for the Company’s operating entities, including preparation of journal entries, reconciliations, and supporting documentation.
  • Prepare files and retrieve reports needed for account reconciliations and period-end analysis.
  • Review, post, and reconcile daily, weekly, and monthly banking transactions.
  • Initiate bank sweeps, deposits, and other related banking or financial processing activities.
  • Participate in the reconciliation of third-party delivery activity and related reporting.
  • Sales Reporting & Operational Accounting Prepare and reconcile sales reporting from multiple sales platforms – POS, RTI, Toast.
  • Review and reconcile sales data to ensure accuracy between operational systems and the general ledger.
  • Assist with maintenance allocation calculations and related journal entries.
  • Review capital expenditure activity and ensure proper account assignment and coding.
  • Inventory & Accruals Support inventory accounting processes, including analysis and reconciliation of inventory balances.
  • Assist with preparation and review of the Corrigo accrual and related expense recognition processes.
  • Collaborate with operations and accounting teams to ensure accurate recording of operational expenses.
  • Prepaid Assets & Balance Sheet Management Maintain and reconcile prepaid accounts including: Track contract terms and ensure proper amortization and expense recognition.
  • Tax Compliance & Filings Prepare and file Sales & Use tax returns and assist with related reconciliations.
  • Review Sales & Use tax filings for accuracy and completeness.
  • Assist with property tax reporting and filings, including coordination with Avalara and internal teams.
  • Prepare and maintain documentation supporting various tax obligations and compliance activities.
  • Facilitate responses to tax audits, notices, and regulatory inquiries.
  • Compliance & Regulatory Reporting Assist with unclaimed property filings, including cleanup and reconciliation of historical balances and supporting documentation
  • Cross-Functional Collaboration Work closely with Accounting, Operations, and external partners to ensure accurate financial reporting and compliance.
  • Support process improvement initiatives across accounting workflows and reporting processes.
  • Assist the Accounting Department and Director of Accounting with special projects and ad-hoc analysis as assigned.
  • Additional Responsibilities Perform other duties and lead special projects as assigned, consistent with the scope, discretion, and level of responsibility of this position.

Benefits

  • Competitive base salary and bonus plans
  • Health insurance, including medical, dental, vision, and HSA options
  • Paid Time Off and Holidays
  • 401k
  • Meal discounts at all Meritage affiliated restaurants
  • Plus various additional perks and benefits
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