Key Responsibilities:
- Perform senior-level financial management, daily ledger oversight, and advanced data categorization.
- Execute mandatory monthly bank, credit card, and balance sheet reconciliations for diverse business entities.
- Conduct comprehensive month-end and year-end closing procedures under strict compliance timelines.
- Calculate and process annual sales tax liabilities and multi-state compliance filings.
- Generate and analyze foundational financial reporting packages, including Trial Balances, P&L statements, and Balance Sheets.
Requirements:
- Minimum 10 years of overall accounting experience, including at least 3 years working recently inside a US accounting/CPA firm.
- Proven employment stability with a minimum of 2 years of continuous tenure in each past role.
- Strong professional English communication skills for direct, front-facing advisory interactions with US clients.
- Documented history of positive professional references from at least two former US employers.
Accounts ReceivableAccounts PayableReconciliationsFinancial StatementsQuickbooksFinancial ReportingGeneral Ledger AccountingSenior AccountantFinancial StatementAccounting MethodsGeneral AccountingWritten and Verbal Communication SkillsJournal EntriesAccounting Software