Accountant - Entry Level
We are looking for an entry-level Accountant to join our team on a contract basis in New York, New York. In this role, you will play a key part in maintaining the accuracy of financial data, ensuring proper documentation, and supporting various accounting functions. This position offers an excellent opportunity to gain hands-on experience in a dynamic and collaborative environment.
Responsibilities:
⢠Reconcile inventory records between internal systems and reports from external warehouses.
⢠Investigate and resolve discrepancies through coordination with operations and warehouse teams.
⢠Update and maintain accurate inventory data within the NetSuite system.
⢠Perform transactional accounting tasks such as invoice entry and data validation.
⢠Document findings and resolutions from reconciliation activities in a detailed manner.
⢠Provide ad-hoc accounting support during organizational stabilization phases.
⢠Assist with daily reconciliation tasks to ensure financial accuracy.
⢠Collaborate with team members to process data and maintain compliance with accounting principles.⢠At least 1 year of experience in accounting or a related field.
⢠Proficiency in accounts payable (AP) and accounts receivable (AR) processes.
⢠Strong skills in bank reconciliations and daily financial reconciliation.
⢠Familiarity with accounting entries and data processing workflows.
⢠Experience with invoice entry and maintaining accurate financial records.
⢠Basic understanding of accounting principles and practices.
⢠Detail-oriented with the ability to manage multiple tasks efficiently.
⢠Proficiency in using accounting software, such as NetSuite, is preferred.
Apply Now
Apply Now
Responsibilities:
⢠Reconcile inventory records between internal systems and reports from external warehouses.
⢠Investigate and resolve discrepancies through coordination with operations and warehouse teams.
⢠Update and maintain accurate inventory data within the NetSuite system.
⢠Perform transactional accounting tasks such as invoice entry and data validation.
⢠Document findings and resolutions from reconciliation activities in a detailed manner.
⢠Provide ad-hoc accounting support during organizational stabilization phases.
⢠Assist with daily reconciliation tasks to ensure financial accuracy.
⢠Collaborate with team members to process data and maintain compliance with accounting principles.⢠At least 1 year of experience in accounting or a related field.
⢠Proficiency in accounts payable (AP) and accounts receivable (AR) processes.
⢠Strong skills in bank reconciliations and daily financial reconciliation.
⢠Familiarity with accounting entries and data processing workflows.
⢠Experience with invoice entry and maintaining accurate financial records.
⢠Basic understanding of accounting principles and practices.
⢠Detail-oriented with the ability to manage multiple tasks efficiently.
⢠Proficiency in using accounting software, such as NetSuite, is preferred.
Apply Now
Apply Now