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Accountant

Employer
Balance Staffing.
Location
Phoenix, Arizona, United States
Closing date
Aug 15, 2022

View more

Job Role
Accountant
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Are you an accounting professional who is seeking a new and exciting position within an organization that offers growth and a collaborative environment?

Balance Staffing is seeking an Accountant for a client in Phoenix, AZ.

PERKS!
  • Direct hire position with full benefits
  • Annual bonus on top of a competitive salary
  • Hybrid work schedule- 50% at home and 50% in the office.
  • Tuition reimbursement
  • Ample upward mobility offered

What you will be doing:
  • As an Accountant, your main responsibility will be to provide outstanding personal service to a group of our small business clients.
  • Interact with our clients on a frequent basis and keep our systems and technology workflow running smoothly throughout the year.
  • Responsible for financial statement production, bank reconciliations, sales tax filings, and managing client relationships.
  • Act as a primary contact person and provide speedy and exceptional personal service to clients in long-lasting working relationships.

What you will need:
  • Excellent knowledge of QuickBooks and Microsoft Office Suite
  • Bachelor's degree in accounting is required (or several years of related experience)
  • Excellent organizational and communication skills
  • Collaborative, can-do attitude with a passion for being a strong team player.
  • Ability to juggle multiple clients and tasks while maintaining high quality work product.
  • Ability to learn new software quickly


Job Requirements:
  • Prepare month-end journal entries for financial statements
  • Prepare monthly journal entries and account reconciliations
  • Prepare monthly journal entries and bank reconciliations
  • Preparing month-end journal entries
  • Preparing month end journal entries
  • Prepare journal entries and month end account reconciliations
  • Prepare Corporate accounting journal entries and prepare monthly balance sheet reconciliations
  • Prepare journal entries, accounting reconciliations and month-end close procedures
  • Importing journal entries into accounting software
  • Approve journal entries and account reconciliations
  • Preparing journal entries and account reconciliations
  • Execute monthly journal entries and close accounting periods
  • Preparing journal entries and reconciliations
  • Prepare journal entries and reconciliations
  • Prepare journal entries and bank reconciliations
  • Maintain monthly balance sheet account reconciliations
  • Prepare monthly balance sheet account reconciliations
  • Review monthly balance sheet account reconciliations
  • Prepare journal entries, bank reconciliations and account reconciliations/analysis
  • Prepare monthly balance sheet reconciliations

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