Virtual
Staff Accountant
Virtual, Valley City, Ohio, United States, 44280
Vaco is hiring for a Staff Accountant opportunity in Valley City OH. This is a direct hire that sits fully onsite
Key Responsibilities :
Month-End Close : Manage and execute the month-end closing process, including the preparation and review of financial statements.
Journal Entries : Prepare, review, and post journal entries to ensure accurate and timely financial reporting.
Inventory Management : Maintain and reconcile inventory records, working closely with the production and operations teams to ensure accurate reporting of inventory levels and valuation.
Debits & Credits : Handle all aspects of general ledger accounting, ensuring that all debits and credits are recorded accurately.
Financial Reporting : Assist in the preparation of financial reports, including profit and loss statements, balance sheets, and other key financial documents.
Excel Skills : Utilize advanced Excel functions, including pivot tables and V-lookups, to analyze financial data and support decision-making processes.
Account Reconciliation : Perform regular reconciliations of balance sheet accounts, ensuring accuracy and completeness of financial records.
Process Improvement : Identify opportunities to streamline accounting processes and enhance the accuracy of financial reporting.
Qualifications :
Education : Bachelor’s degree in Accounting, Finance, or a related field.
Experience : 1-5 years of experience in accounting
Technical Skills : Proficiency in Excel, with strong knowledge of pivot tables, V-lookups, and other advanced functions.
Accounting Knowledge : Solid understanding of debits, credits, and general ledger accounting.
Attention to Detail : Strong analytical skills and attention to detail.
Communication : Excellent verbal and written communication skills.
Key Responsibilities :
Month-End Close : Manage and execute the month-end closing process, including the preparation and review of financial statements.
Journal Entries : Prepare, review, and post journal entries to ensure accurate and timely financial reporting.
Inventory Management : Maintain and reconcile inventory records, working closely with the production and operations teams to ensure accurate reporting of inventory levels and valuation.
Debits & Credits : Handle all aspects of general ledger accounting, ensuring that all debits and credits are recorded accurately.
Financial Reporting : Assist in the preparation of financial reports, including profit and loss statements, balance sheets, and other key financial documents.
Excel Skills : Utilize advanced Excel functions, including pivot tables and V-lookups, to analyze financial data and support decision-making processes.
Account Reconciliation : Perform regular reconciliations of balance sheet accounts, ensuring accuracy and completeness of financial records.
Process Improvement : Identify opportunities to streamline accounting processes and enhance the accuracy of financial reporting.
Qualifications :
Education : Bachelor’s degree in Accounting, Finance, or a related field.
Experience : 1-5 years of experience in accounting
Technical Skills : Proficiency in Excel, with strong knowledge of pivot tables, V-lookups, and other advanced functions.
Accounting Knowledge : Solid understanding of debits, credits, and general ledger accounting.
Attention to Detail : Strong analytical skills and attention to detail.
Communication : Excellent verbal and written communication skills.