Accountant(Entry Level)

Employer
NVT Staffing
Location
Fairfax, VA
Posted
Jan 15, 2022
Closes
Jan 18, 2022
Ref
314186623
Function
Accountant
Hours
Full Time
We are seeking an entry-level accountant to perform a variety of accounting duties, including petty cash, general ledger maintenance, fixed assets management, accounts receivable monitoring and bank reconciliations. Will work closely with the Asst. Controller and Controller, learning several aspects of corporate accounting. Essential Duties and Responsibilities: * Prepares all accounts payable vouchers from input into accounting system to mailing payments. Provides accounts payable maintenance including maintaining client vendors in accounting system, reviews outstanding checks, obtaining 1099s and fielding inquiries regarding payments. * Assists with originating pre-bills on a monthly basis and upon request for review by billing attorneys in the Firm. Assists with edits to pre-bills, transferring time, processing write up and write down requests. * Assist with daily cash receipts entry. * Maintains files pertinent to duties. Knowledge, Skills and Abilities Required: * Knowledge of accounting and financial management principles normally acquired through completion of a Bachelor's degree in accounting or finance preferred . * Excellent mathematical skills and ability to analyze and interpret accounting data. * Interpersonal skills necessary to communicate with a diverse group of attorneys and staff and provide information with ordinary courtesy and tact. * Ability to work well under pressure and within short deadlines. * Ability to demonstrate impeccable integrity in fiduciary matters and working on a high level of confidentiality. * Flexibility to work overtime as needed. Job Requirements:Prepare month-end journal entries for financial statementsPrepare monthly journal entries and account reconciliationsPrepare monthly journal entries and bank reconciliationsPreparing month-end journal entriesPreparing month end journal entriesPrepare journal entries and month end account reconciliationsPrepare Corporate accounting journal entries and prepare monthly balance sheet reconciliationsPrepare journal entries, accounting reconciliations and month-end close proceduresImporting journal entries into accounting softwareApprove journal entries and account reconciliationsPreparing journal entries and account reconciliationsExecute monthly journal entries and close accounting periodsPreparing journal entries and reconciliationsPrepare journal entries and reconciliationsPrepare journal entries and bank reconciliationsMaintain monthly balance sheet account reconciliationsPrepare monthly balance sheet account reconciliationsReview monthly balance sheet account reconciliationsPrepare journal entries, bank reconciliations and account reconciliations/analysisPrepare monthly balance sheet reconciliations

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