Staff Accountant

Thompson Hospitality CorporationReston, VA
Onsite

About The Position

Thompson Hospitality is hiring a Staff Accountant is responsible for ensuring the accuracy and completeness of financial records through reconciliations, accruals, journal entries, and financial reporting. This role plays a key part in the period-end close process by identifying discrepancies, researching variances, and resolving issues independently. The ideal candidate is highly analytical, detail-oriented, proactive, and comfortable working across multiple systems to support accounting operations and provide timely, accurate financial information to operations and executive leadership.

Requirements

  • Bachelor's degree in Accounting, Finance, or a related field required; equivalent accounting experience may be considered.
  • 3+ years of accounting, reconciliation, or financial analysis experience preferred.
  • Experience preparing journal entries, account reconciliations, accruals, and general ledger analysis.
  • Strong understanding of accounting principles and financial reporting.
  • Experience working with ERP and financial management systems; NetSuite and Craftable experience preferred.
  • Advanced proficiency in Microsoft Excel and the ability to analyze large volumes of data.
  • Demonstrated ability to research, investigate, and resolve discrepancies.
  • Strong analytical and problem-solving skills with a high level of attention to detail.
  • Self-motivated with the ability to take initiative and manage competing priorities.
  • Ability to work across multiple systems and reconcile data between platforms.
  • Strong organizational, written, and verbal communication skills.
  • Experience in the restaurant, hospitality, retail, or multi-location industry preferred.

Responsibilities

  • Execute period-end close activities, including preparation of journal entries, accruals, reconciliations, and analysis to ensure accurate and timely financial reporting.
  • Prepare and post journal entries with appropriate supporting documentation.
  • Sync and validate sales data.
  • Perform bank reconciliations and investigate and resolve discrepancies.
  • Complete third-party delivery reconciliations and ensure accurate recording of sales and fees.
  • Prepare and maintain balance sheet account reconciliations.
  • Review AP activity for accuracy and identify potential coding errors, including accounts payable transactions.
  • Generate and distribute recurring financial reports to operations and leadership teams throughout each accounting period.
  • Partner with operations and executive leadership to answer accounting and financial inquiries.
  • Identify process improvement opportunities and recommend solutions to improve efficiency and accuracy.
  • Assist with other accounting projects as assigned.

Benefits

  • competitive benefits
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