Staff Accountant

Raymour & Flanigan Furniture and MattressesTown of Clay, NY
22h

About The Position

The Staff Accountant is reponsible for Cash Management and assisting with month end and year end accounting activities. Activities will include account reconciliation, accruals, analysis and reporting. As our company has recently updated to a new ERP system, the role of Staff Accountant will continue to grow and develop with the candidate. In addition to daily activities the candidate will be involved with ERP system development within our organization. This position reports to the Accounting Manager.

Requirements

  • An understanding of Generally Accepted Accounting Principals (GAAP)
  • 1-3 Years of accounting experience
  • Bachelor’s degree in Accounting or Associate’s degree with equivalent experience
  • Possess strong analytic skills
  • Possess a positive professional personality and appearance
  • Ability to work independently and as part of a team
  • Ability to interact well with other associates
  • Strong verbal and written communication skills
  • Detailed oriented
  • Comfort level with emerging technology
  • Strong MS Excel skills

Nice To Haves

  • Prior experience with NetSuite or other ERP systems a plus

Responsibilities

  • Cash management and cash reconciliation
  • Review Balance Sheets and Income Statements to verify account balances and reasonable revenue and expense accounts
  • Ensure accuracy of all general ledger information
  • Work with other internal teams and determine necessary accruals and adjustments for other non-cash balance sheet accounts
  • Assist in preparing monthly reconciliation of cash and other balance sheet accounts
  • Assist in preparing monthly/year end journal entries needed to close books
  • Assist in special projects as necessary
  • Improve processes related to above duties and responsibilities
  • Adhere to privacy and confidentiality on proprietary company policies and procedures
  • As required by changing business needs, complete additional responsibilities as assigned
  • Primary contact with financial partners to establish and manage users and access
  • Support retail locations with banking requirements and general accounting questions
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