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We are looking for an experienced Sr. Accountant to support core accounting operations in Honolulu, Hawaii. This role will lead key close activities, maintain the accuracy of financial records, and provide insight into performance through reporting and analysis. The ideal candidate brings strong technical accounting knowledge, a hands-on approach to reconciliations and journal entries, and the ability to work effectively across day-to-day and higher-level financial responsibilities. Due to the nature of the work and onsite requirements, preference will be given to Hawaii residents. Applicants should be able to reliably commute or reside within the region to meet business needs. All qualified applicants are encouraged to apply by calling Erica Huggins at 808.452.0256.
Job Responsibility:
Lead monthly and period-end close activities to ensure financial results are recorded accurately and on schedule
Prepare and post journal entries, review general ledger activity, and resolve discrepancies affecting financial reporting
Perform detailed account and bank reconciliations, investigate variances, and clear outstanding items in a timely manner
Analyze financial data to identify trends, explain fluctuations, and support management decision-making
Support cost accounting processes by tracking expenses, reviewing allocations, and helping maintain reliable product or operational cost information
Contribute to budgeting and forecasting efforts by compiling data, validating assumptions, and assisting with financial projections
Partner with accounts payable and other internal teams to ensure transactions are properly recorded and supported
Use Excel and reporting tools such as Power BI to develop schedules, reports, and dashboards that improve visibility into financial performance
Provide direct oversight or guidance to assigned staff while helping maintain consistent accounting procedures and internal controls
Requirements:
Proven experience in a senior-level accounting role with strong ownership of month-end close activities
Solid knowledge of general ledger accounting, journal entry preparation, and account reconciliation practices
Experience completing bank reconciliations and researching variances across multiple accounts
Background in financial analysis, cost accounting, and support for budgeting or forecasting processes
Proficiency with Microsoft Excel, including the ability to work with large data sets and build practical reports
Familiarity with Power BI or similar reporting tools used for financial visualization and analysis
Understanding of accounts payable workflows and how they impact financial statements
Prior experience providing direct supervision, guidance, or review of accounting team members