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Connor Group is seeking a Manager - Technical Accounting who will be responsible for developing specialized expertise in multiple areas, understanding technical accounting rules and regulations, preparing financial statements, and providing excellent client service. The ideal candidate should have 5-7 years of public accounting and industry experience.
The Staff Accountant facilitates daily accounting tasks such as accounts payable, grant management, and accounts receivable, ensuring accurate financial reporting and compliance. They support monthly, quarterly, and year-end closes while maintaining a thorough understanding of the financial reporting structure. The role includes collaborating with clients and team members to ensure efficient financial management and timely reporting.
The Staff Accountant position involves managing the corporation's Fixed Asset system, processing electronic bills in Accounts Payable, performing monthly documentation of depreciation and asset management, and supporting various financial projects and reports.
The Staff Accountant will maintain accurate accounting records and prepare financial statements. Responsibilities include processing transactions, reconciling accounts, supporting monthly and yearly close processes, and ensuring compliance with accounting standards. The role requires strong analytical skills and understanding of accounting principles.
The Accountant I is responsible for entry-level accounting tasks including maintaining an accurate general ledger, performing account reconciliations, and preparing financial reports. The position requires assistance with monthly and annual filings, financial analysis, and operational reviews. This role also involves managing special projects and ensuring compliance with procedures and policies.
As a Staff Accountant at WPP, you will be responsible for assisting in the monthly accounting cycle, performing reconciliations, preparing journal entries, and ensuring compliance with Sarbanes-Oxley requirements while working closely with internal finance teams.
The Staff Accountant will manage daily/monthly general ledger activities, prepare journal entries, reconcile accounts, handle accounts payable, support financial reporting, assist with audits, and ensure compliance with accounting standards. The role requires collaboration with various departments to meet organizational financial objectives.
The GL Accountant will support the month-end close process, maintain the general ledger system, prepare financial reports, assist with audit documentation, and identify process improvements. The role involves collaboration with finance teams and participation in special projects.
The Associate in Fund Accounting will manage daily transactions of limited partnership vehicles, perform financial statements, compliance reporting, and assist in quarterly and ad hoc investor reporting, along with cash management and special projects as required.
The Staff Accountant at Comoto Holdings is responsible for maintaining accurate financial records, performing reconciliations, and assisting in financial analysis and reporting. They must possess strong accounting skills, communicate effectively, and manage multiple tasks in a fast-paced environment, while supporting the annual audit process.
The Revenue Accountant manages revenue recognition and ensures accurate financial reporting of revenue and related accounts. Responsibilities include reviewing customer contracts, overseeing the billing cycle, creating revenue controls, preparing monthly reports, and assisting in audits. Collaboration with Sales, Ops, and Customer Success is key to aligning revenue policies.
As a Senior Accountant at Jabil, you will support the finance team in ensuring timely month-end closes, assist in financial statement preparation, and manage Capex reporting among other duties. Your role includes account reconciliations, tax filings, and collaboration with payroll, while also training other team members.
The Revenue & AR Accountant will support revenue recognition and AR accounting ensuring compliance with US GAAP, manage the accounting processes, assist in financial reporting, collaborate with cross-functional teams, and prepare documentation for audits.
The Staff Accountant will manage day-to-day accounting activities, including accounts payable, general ledger entries, month-end closing, and inventory accounting. Responsibilities include verifying invoices, assisting with audits and SOX reviews, creating accruals, and supporting the implementation of internal controls and NetSuite. The role requires adaptability to change and a growth mindset within the finance department.
The Staff Accountant will assist the Accounting and Finance department with monthly, quarterly, and yearly closing procedures, manage revenue recognition, lead annual audits, prepare reconciliations, and collaborate with teams on invoicing and compliance. They will also work on process improvements and ad hoc assignments as needed.
Looking for an Accountant to oversee general accounting operations, reconcile accounts, prepare financial statements, and assist in month-end close procedures. Must have a Bachelor's degree in Accounting, 5+ years of experience, and expertise in ERP systems and GAAP principles.
The Accountant will manage financial close processes, accounts payable, credit card expense management, payroll, and compliance with sales tax and VAT regulations across multiple jurisdictions. The role requires proficiency in Excel and experience in multi-jurisdictional accounting.
The Lead Accountant will provide support to the Consolidations and Controllership Teams, guiding other accountants, administering the consolidation system, ensuring compliance with GAAP, and contributing to internal controls while collaborating with various departments for efficient accounting practices.
The Staff Accountant position involves fundamental cash and accrual accounting tasks, such as handling general ledger accounting and financial reporting, while ensuring adherence to accounting principles under supervision. The role includes preparing financial reports, managing accounts payable and receivable, and aiding in various accounting functions to support senior accountants. This job is geared towards gaining experience and knowledge for advancement to Client Accountant roles.
The Revenue Staff Accountant will oversee accounts receivable management, including billing, collections, and reporting. Responsibilities include reviewing billing calculations, managing daily cash transactions, preparing journal entries, and providing support for audits and revenue analytics.
The Financial Reporting Accountant is responsible for SEC and regulatory financial reporting, preparing financial statements, ensuring compliance with US GAAP, and performing analysis of financial statements. This role involves preparing cash flow statements, coordinating with auditors, and maintaining adherence to internal controls while seeking areas for process improvement.
The Manager, Technical Accounting and Reporting will draft SEC filings, provide US GAAP guidance, prepare external financial reports, and assist in audits. This role involves technical accounting responsibilities, collaboration with finance teams, and monitoring new accounting standards.
The Staff Accountant prepares and maintains financial reports, reconciles accounts, assists in budget preparation, ensures compliance with financial regulations, processes invoices, manages accounts receivable, and collaborates for accurate financial reporting.
As a Staff Accountant in Platform Operations at Coinbase, you will prepare journal entries related to customer and intercompany activities, manage custodial cash reconciliations, ensure compliance with internal controls, support audits, and collaborate with other teams to streamline accounting processes. A strong attention to detail and experience in accounting within the fintech industry is essential.
The AP Accountant will handle all aspects of the Accounts Payable process, ensuring compliance with various standards, executing supplier agreements, resolving procurement issues, maintaining accurate financial information, and assisting with month-end accounting and financial reporting.
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