This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
We are looking for an Accounting Specialist to support clients with year-end financial reporting and regulatory filing preparation in Norwalk, Connecticut. This position focuses on organizing complex accounting records, translating financial activity into required reporting categories, and producing accurate workpapers for compliance submissions. The ideal candidate is comfortable working with detailed financial documentation, collaborating with client contacts, and using Excel to manage and reconcile large sets of data.
Job Responsibility
Collaborate with clients and accounting personnel to obtain the financial records needed for annual reporting, including ledgers, payroll records, banking activity, dues information, and supporting transaction detail
Review accounting data from multiple sources and organize it into the reporting structure required for year-end Department of Labor filings
Evaluate transaction activity and reclassify expenses and other financial items into the appropriate compliance categories based on reporting guidelines
Reconcile account balances across ledgers, bank records, credit card activity, and supporting schedules to confirm completeness and accuracy
Prepare and maintain detailed Excel workpapers that summarize financial information and support final reporting outputs
Investigate discrepancies in submitted records, follow up with client contacts for clarification, and resolve data issues before finalization
Assist with balancing financial schedules and validating that reported totals align with source documentation and fiscal year records.
Requirements
Experience in accounting support, bookkeeping, or financial data processing roles
Working knowledge of accounts payable, accounts receivable, invoice handling, and general transaction entry
Proficiency in Microsoft Excel, including formulas
experience with VBA is a plus
Familiarity with QuickBooks and the ability to extract and interpret accounting records from bookkeeping systems
Hands-on experience performing bank, credit card, expense, and balance sheet reconciliations
Strong attention to detail with the ability to analyze financial data and identify inconsistencies
Effective communication skills for coordinating with clients and requesting financial documentation.
What we offer
Medical, vision, dental, and life and disability insurance