Koury Corporation
Koury Corporation is hiring: Accounting Specialist in Greensboro
Koury Corporation, Greensboro, NC, United States, 27407
Description
Accounting Specialist:
Job Summary:
The Accounting Specialist is responsible for various Accounts Payable Department duties including invoice entry, journal entries, bank reconciliations, month end reconciliations and various other accounting and administrative duties.
Experience and attributes:
2-3 years of accounting and accounts payable experience with appropriate software and technology skills required. Individuals should have strong interpersonal, written, and verbal communication skills with the ability to be a team player.
Responsibilities:
Enter invoices
Vendor statement reconciliation
Daily download of cleared checks for reconciliations
Set up new construction jobs
Enter project management time allocations
Enter equipment time for allocations
Bank reconciliation preparation
Journal entries and cash management entries
Month end reconciliations
Assist in filing after each check run
Moving files at year end
Other various accounting and administrative duties as necessary.
Requirements:
Ability to demonstrate close attention to detail
Strong data entry skills
Proficient in MS Office with strong knowledge of and experience in Excel
Experience with SAGE300CRE preferred
Associates degree required
Accounting Specialist:
Job Summary:
The Accounting Specialist is responsible for various Accounts Payable Department duties including invoice entry, journal entries, bank reconciliations, month end reconciliations and various other accounting and administrative duties.
Experience and attributes:
2-3 years of accounting and accounts payable experience with appropriate software and technology skills required. Individuals should have strong interpersonal, written, and verbal communication skills with the ability to be a team player.
Responsibilities:
Enter invoices
Vendor statement reconciliation
Daily download of cleared checks for reconciliations
Set up new construction jobs
Enter project management time allocations
Enter equipment time for allocations
Bank reconciliation preparation
Journal entries and cash management entries
Month end reconciliations
Assist in filing after each check run
Moving files at year end
Other various accounting and administrative duties as necessary.
Requirements:
Ability to demonstrate close attention to detail
Strong data entry skills
Proficient in MS Office with strong knowledge of and experience in Excel
Experience with SAGE300CRE preferred
Associates degree required