Staff Accountant I, Balance Sheet Management
J
JobgetherHealthcare Accounting
Based in the United StatesFull-TimeEntry
Salary51,611 - 69,675 USD per year
Apply NowOpens the employer's application page
Job Details
- Experience
- 1–2 years of accounting experience preferred; relevant internships, coursework, or related experience may also be considered.
- Required Skills
- AccountingFinancial analysisBudgeting
Requirements
- Bachelor’s degree in Accounting, Finance, Business, or a related field preferred, or equivalent relevant experience.
- 1–2 years of accounting experience preferred; relevant internships, coursework, or related experience may also be considered.
- Strong understanding of fundamental accounting principles, financial reporting, reconciliations, and journal entries.
- Ability to analyze balance sheet and income statement accounts, identify discrepancies, and develop appropriate resolutions.
- Strong attention to detail and commitment to accuracy when working with financial information.
- Ability to manage multiple priorities and meet recurring month-end, reporting, budgeting, and audit deadlines.
- Strong communication and interpersonal skills.
- Analytical and problem-solving mindset with an interest in identifying process improvements.
- Willingness to learn new financial systems, reporting tools, accounting standards, and industry-specific requirements.
- Proficiency with financial analysis and reporting tools such as Oracle OTBI and SmartView is advantageous.
- CPA designation or progress toward CPA certification is preferred.
Responsibilities
- Support monthly balance sheet account reconciliation processes across a range of accounts and organizational entities.
- Assist with month-end close activities for designated facilities, including portions of the close checklist, statistical entries, reconciliations, and post-close review and analysis.
- Perform balance sheet and income statement analysis for designated facilities and assigned account ranges.
- Investigate, explain, and resolve discrepancies and variances identified during balance sheet reconciliations.
- Collaborate with facility leadership and finance teams to prepare, review, and record journal entries.
- Support facility leadership and finance teams with annual budgeting activities and monthly operating forecasts.
- Assist with quarterly financial reviews and annual internal and external audit processes.
- Use ad-hoc reporting and financial analysis tools, including Oracle OTBI and SmartView.
View Full Description & ApplyYou'll be redirected to the employer's site