Staff Accountant

1100 West Investments LLCMiami Beach, FL

About The Position

The Staff Accountant is responsible for maintaining financial procedures and confirming financial compliance through preparation of a company’s reports and statements. Computes and prepares data for journal entries, general ledger, and related financial statements; performs day-to-day general accounting functions. The Staff Accountant will prepare and maintain financial records to track the Hotel's assets, liabilities, profit and loss, tax liabilities, and other related financial activities.

Requirements

  • Bachelors degree in Accounting, or related field, required.
  • Minimum three years of related experience required.
  • Proficient in M3 Accounting System, Micros POS, OPERA, Microsoft Office Suite
  • Ability to prepare reports and business correspondence.
  • Demonstrated ability to calculate figures and amounts such as discounts, interest, commissions, and percentages.
  • Commitment to excellence and high standards.
  • Excellent written and verbal communication skills.
  • Ability to understand and follow written and verbal instructions
  • Strong organizational, problem-solving, and analytical skills; able to manage priorities and workflow.
  • Ability to work independently and as a member of various teams and committees.
  • Versatility, flexibility, and a willingness to work within constantly changing priorities with enthusiasm.

Responsibilities

  • Prepares general ledger journal entries, fixed asset tracking, monthly balance sheet reconciliation, and bank reconciliation.
  • Generates and files monthly financial reports.
  • Develops, analyzes, and prepares periodic financial statements for timely distribution to management.
  • Assists with accounts payable functions including but not limited to verifying invoices, expense reports, check requests, and purchase requisitions; entering data into accounts payable system; and processing weekly check runs.
  • Assists with accounts receivable functions including but not limited to applying payments to appropriate accounts, monthly invoicing, reconciling customer accounts, and handling customer inquiries.
  • Reconciles petty cash fund.
  • Assists with budget preparation.
  • Prepares and analyzes monthly journals.
  • Performs daily banking procedures.
  • Maintains fixed asset and related depreciation schedules.
  • Prepares monthly tax returns.
  • Assists with annual external audits.
  • Analyzes and reconciles general ledger accounts.
  • Prepares account analyses and reconciliation.
  • Coordinates implementation of accounting systems and accounting control procedures.
  • Reviews and analyzes the organization's accounting operation; recommends improvements.
  • Assists with related special projects as required.
  • Performs other duties as assigned by manager.
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