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Staff Accountant

Who We Are
At P&J Arcomet, we have developed a strong niche in providing our clients with highly responsive, personalized engineering and technical suite of services. We are passionate about what we do. We are equally passionate about how we do it. We encourage you to learn more about who we are, and what we do.
What We Are Looking For
Reporting to the Controller, the Staff Accountant will provide administrative and financial support services. The position works closely with other accounting personnel, internal departments, and external parties. Construction or rental industry experience a plus.
Duties and Responsibilities:
· Asset Management process and reporting
· Daily bank deposits and cash application
· Reconcile monthly deposits
· Process, reconcile credit card payments and code to proper account
· Post journal entries and reconcile general ledger accounts as needed
· Process monthly bank reconciliations
· Assist with financial statement review
· Assist Controller with month-end closing process
· Act as back-up to AP and AR to keep the department running smoothly
· Additional duties as assigned
Qualifications
· Degree in Accounting or Finance Preferred. Applicants without degrees may be considered with the right experience.
· 2 years professional experience in accounting and finance
· Knowledge of generally accepted accounting principles
· Proficiency in Microsoft Office products (Word, Excel and Outlook)
· Proficiency in SAP or other accounting software
· Strong analytical problem-solving aptitude with creative solutions, ability to organize work with large amounts of information efficiently, manage multiple projects and deadlines simultaneously with strong attention to detail
· Ability to effectively and professionally communicate, both in writing and verbally, with management, vendors
· Able to work as a team player
· Open to development of skills and knowledge
· Willingness to be flexible and adaptable to change
· Excellent customer service
Additional Job Duties:
· Account Reconciliations
· Journal Entries
· Bank Reconciliations
· A/R & A/P Knowledge
· Month end close
· Recordkeeping
· Account reconciliation
· Running errands (bank deposits, etc.)
· Data entry