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We are looking for a skilled Staff Accountant to join our team on a contract basis in Orlando, Florida. The ideal candidate will possess strong expertise in full-cycle accounting and cash reconciliations, with a proven ability to handle journal entries and manage the general ledger. This position requires excellent attention to detail, time management abilities, and proficiency in Microsoft Excel.
Job Responsibility:
Perform daily, weekly, and monthly bank and cash reconciliations to ensure accuracy and compliance
Research and resolve discrepancies between bank statements, billing systems, and the general ledger, including outstanding checks, deposits in transit, ACH, wires, and other variances
Prepare journal entries and analyze debits and credits to maintain accurate financial records
Reconcile cash receipts and ensure timely and accurate posting and application of payments
Maintain detailed reconciliation schedules and supporting documentation for audits and reporting
Support month-end and year-end close processes related to cash accounts
Ensure adherence to internal controls, company policies, and regulatory requirements
Collaborate cross-functionally to resolve cash posting issues and improve reconciliation processes
Train on and utilize Accounttrak software effectively in daily operations
Requirements:
Minimum of 3 years of experience in accounting or a related field
Proficiency in cash reconciliations and handling journal entries
Strong knowledge of full-cycle accounting practices and principles
Advanced skills in Microsoft Excel, including pivot tables and macros
Familiarity with Microsoft Office Suite and accounting software
Exceptional attention to detail and organizational skills
Ability to manage time effectively and prioritize multiple tasks
Solid understanding of debits, credits, and general ledger operations