Staff Accountant

Lucifer Lighting CompanySan Antonio, TX
45dOnsite

About The Position

Lucifer Lighting Company is a privately held San Antonio-based designer and manufacturer of precision-engineered architectural light fixtures for projects worldwide. You’ll find our products everywhere from SF MOMA to the Nike Headquarters. We’re in the campuses of 4 of the 5 largest tech companies and 5 of the top 10 tallest towers in the U.S. Our customers are the world’s leading architects and designers who look for minimalist industrial design and place a premium on service, quality, and innovation. Our people make magic happen; and our team is passionate, smart, hard-working, committed, and creative. We like to make work enjoyable and engaging. We light the world's most beautiful spaces. Summary: The Staff Accountant plays a significant role in maintaining prepaids, general ledger reconciliation, preparation of reporting, and journal entries.

Requirements

  • Bachelor’ degree in Accounting or Finance.
  • 1 year experience in general ledger and month end closing (preferred but not required).
  • GL proficiency in a manufacturing environment.
  • Proficient Microsoft Office, specifically Excel.
  • Strong knowledge of accounting principles and procedures.
  • Excellent verbal/written communication skills.
  • Ability to prioritize and handle multiple projects and deadlines.
  • Demonstrated success in role can lead to opportunity for growth and additional responsibility.

Nice To Haves

  • 1 year experience in general ledger and month end closing (preferred but not required).
  • Large ERP system experience (preferred but not required).

Responsibilities

  • Active participant in GL entries and month end financial statement close process.
  • Assist with the annual audit preparations and audit support.
  • Reconcile perpetual reports and balance sheet accounts including inventory and related reserve accounts.
  • Set up new vendors in ERP software and maintain vendor profile.
  • Audit employee expense reports, prepare reports for receipt tracking, distribute to employees, and follow up for compliance.
  • Participates in preparation of the annual budget and supporting analysis.
  • Reconcile petty cash monthly.
  • G/L code to monthly credit card statements, prepare and post journal entries to Syteline.
  • Analyze Freight for material purchases.
  • Reconcile bank statements daily and daily deposits.
  • Prepare daily cash flash report.
  • Back up for daily invoicing of shipments.
  • Back up for preparation of the daily Order and Shipments analysis.
  • Ad Hoc reports as requested by Controller/Management.
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