Piedmont Global
Non-profit + 1 more
Description
Qualifications
- Bachelor’s degree in accounting or related discipline
- 3+ years of professional accounting experience
- Experience with Microsoft Business Central and Interpreter Intelligence is preferred
- Strong understanding of accounting principles, GAAP and IFRS
- Strong mathematical and analytical skills
- Excellent oral and written communication skills
- Excellent organizational skills and attention to detail
- Proficient with Microsoft Office Suite
- Proficient with accounting software and/or ability to adapt to unfamiliar accounting software
- Proven ability to handle multiple projects simultaneously
- Strong time management skills with proven ability to meet deadlines and prioritize tasks
- Excellent attention to detail and accuracy and ability to perform detailed audits and reconciliations is required
- Ability to act with integrity, professionalism, and confidentiality
- Ability to work effectively as part of a distributed team
Responsibilities
- Prepare and record balance sheet and income statement entries by compiling and analyzing account information
- Maintain and balance subsidiary accounts by verifying, allocating, posting, and reconciling transactions and resolving discrepancies
- Maintains general ledger by transferring subsidiary accounts, preparing trial balances, and reconciling entries
- Prepare monthly closing journal entries and maintain reconciliations for balance sheet and income statement accounts
- Reconcile and process invoices, expense reimbursements, credit cards and bank transactions
- Summarize financial status by collecting information and prepare balance sheet, profit and loss, and other statements
- Develop and document business processes and accounting policies to maintain and strengthen internal controls
- Ensure the integrity of accounting information by recording, verifying, consolidating, and entering transactions into accounting system
- Perform various analysis on G/L accounts
- Ensures compliance with GAAP and IFRS principles
- Review and monitor accounts and financial records to discover discrepancies and errors
- Receive and verify expense reports; reconcile expense and other financial reports with account balances and other official records
- Assist in transitioning accounting from acquired businesses
- Analyze financial data and create reports for management, stakeholders and external parties, such as vendors or lenders.
- Assist with gathering and compiling information for the annual and quarterly budget, and re-forecasts, respectively
- Compile data and schedules required for reviews, audits and tax filings
- Provide support on ad-hoc projects and reporting requests
- Other related duties as assigned
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