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Accountant

  • ... Posted on: Nov 20, 2024
  • ... Telnet Inc
  • ... Medina, Ohio
  • ... Salary: Not Available
  • ... Full-time

Accountant   

Job Title :

Accountant

Job Type :

Full-time

Job Location :

Medina Ohio United States

Remote :

No

Jobcon Logo Job Description :

Job Title: Accountant

Location: Medina, OH Hybrid

Duration: full time

Job Description:

The Staff Accountant is responsible for supporting the overall objectives of the department by applying appropriate accounting principles to transactions, reconciling and analyzing accounts, maintaining appropriate records, and supporting the business unit.

Essential Functions Performed by the Department

  • Timely and accurate processing of financial transactions and North America Operations
  • Record cash transfers, cash deposits, and cash wires to ensure accurate financial records.
  • Support Purchasing, Inventory Management & Logistics including annual cycle count
  • Process deposits, Daily Positive Pay and ACH approvals
  • Perform regular bank reconciliations for checking accounts to verify transactions.
  • Analyze employees' expense reports submitted for payment, checking for correct coding, class and general ledger account selections.
  • Review credit card expenses and assign them to the appropriate general ledger accounts
  • Reconcile NetSuite and Avalara for state and local Sales Use Tax and file; Reconcile and file quarterly Canadian GST 34; Monthly payroll report to Canada for US and UK divisions, Provide USA input for Canada T2. Process all state income tax prepayments
  • Participate in accounting close and reporting, preparing monthly and year-end journal entries.
  • Support year-end accounting close processes; assist with the annual audit process; provide required supporting documentation for projects; maintain files and records.
  • Crosstrain for other positions within the department (such as Accounts Payable, Accounts Receivable) to provide coverage as needed and to have a general understanding of the processes.

Skill, Educational, and Knowledge Requirements:

  • 1-3 years of experience with expense accrual and account reconciliation.
  • College degree in Accounting or Finance, or equivalent work experience.
  • System experience with NetSuite or major ERP system preferred
  • Experience with month-end closing
  • Proficiency in Microsoft Office Suite, particularly Excel, is required.
  • Must be able to work independently and as part of a team.
  • Attention to detail and the ability to meet deadlines is essential.
  • Knowledge of accounting best practices and regulations is required.

Benefits:

  • 401k with employer match
  • Health, Life, AD&D, Vision, Dental, Disability Insurance
  • Employee Assistance Program
  • Paid time off
  • 10 company paid holidays

Work location: Hybrid

MUST HAVE

  • Degree in Accounting or Finance.
  • 1-3 years of experience with expense accrual and account reconciliation.
  • Experience with NetSuite or major ERP system.
  • Experience with month-end closing.
  • Proficiency in Microsoft Office Suite, particularly Excel, is required.
  • Must be able to work independently and as part of a team.
  • Attention to detail and the ability to meet deadlines is essential.
  • Knowledge of accounting best practices and regulations is required.

Jobcon Logo Position Details

Posted:

Nov 20, 2024

Employment:

Full-time

Salary:

Not Available

Snaprecruit ID:

SD-CIE-b97782a2c97aea63b5fff54877374267c71ba08fa26cef529ac0c90f9c00b1c2

City:

Medina

Job Origin:

CIEPAL_ORGANIC_FEED

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Job Title: Accountant

Location: Medina, OH Hybrid

Duration: full time

Job Description:

The Staff Accountant is responsible for supporting the overall objectives of the department by applying appropriate accounting principles to transactions, reconciling and analyzing accounts, maintaining appropriate records, and supporting the business unit.

Essential Functions Performed by the Department

  • Timely and accurate processing of financial transactions and North America Operations
  • Record cash transfers, cash deposits, and cash wires to ensure accurate financial records.
  • Support Purchasing, Inventory Management & Logistics including annual cycle count
  • Process deposits, Daily Positive Pay and ACH approvals
  • Perform regular bank reconciliations for checking accounts to verify transactions.
  • Analyze employees' expense reports submitted for payment, checking for correct coding, class and general ledger account selections.
  • Review credit card expenses and assign them to the appropriate general ledger accounts
  • Reconcile NetSuite and Avalara for state and local Sales Use Tax and file; Reconcile and file quarterly Canadian GST 34; Monthly payroll report to Canada for US and UK divisions, Provide USA input for Canada T2. Process all state income tax prepayments
  • Participate in accounting close and reporting, preparing monthly and year-end journal entries.
  • Support year-end accounting close processes; assist with the annual audit process; provide required supporting documentation for projects; maintain files and records.
  • Crosstrain for other positions within the department (such as Accounts Payable, Accounts Receivable) to provide coverage as needed and to have a general understanding of the processes.

Skill, Educational, and Knowledge Requirements:

  • 1-3 years of experience with expense accrual and account reconciliation.
  • College degree in Accounting or Finance, or equivalent work experience.
  • System experience with NetSuite or major ERP system preferred
  • Experience with month-end closing
  • Proficiency in Microsoft Office Suite, particularly Excel, is required.
  • Must be able to work independently and as part of a team.
  • Attention to detail and the ability to meet deadlines is essential.
  • Knowledge of accounting best practices and regulations is required.

Benefits:

  • 401k with employer match
  • Health, Life, AD&D, Vision, Dental, Disability Insurance
  • Employee Assistance Program
  • Paid time off
  • 10 company paid holidays

Work location: Hybrid

MUST HAVE

  • Degree in Accounting or Finance.
  • 1-3 years of experience with expense accrual and account reconciliation.
  • Experience with NetSuite or major ERP system.
  • Experience with month-end closing.
  • Proficiency in Microsoft Office Suite, particularly Excel, is required.
  • Must be able to work independently and as part of a team.
  • Attention to detail and the ability to meet deadlines is essential.
  • Knowledge of accounting best practices and regulations is required.

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