Henderson Harbor Group
Accounting Manager - $120K
Henderson Harbor Group, Thousand Oaks, California, United States, 91362
Overview
Our client, a manufacturing company, is looking for an
Accounting Manager
to join them in Thousand Oaks, CA location. This person will be responsible for carrying out the day-to-day accounting functions and monthly closings. They offer competitive compensation packages along with excellent benefits! Base pay range $110,000.00/yr - $120,000.00/yr Responsibilities
Monthly close and preparation of financial statements for a number of entities Participate in the month-end and year-end processes Perform balance sheet and income statement variance account analysis, and prepare all related journal entries Prepare and analyze general ledger account reconciliations such as banks, AR and AP Ensure inter company transactions are recorded correctly and appropriately eliminated in consolidated financial statements Responsible for computing the daily cash balances for management purposes Bank reconciliations, cash flow report Schedule and prepare checks, wires, ACH templates Charge expenses to accounts by recording entries and invoices Assist with other ad-hoc projects as necessary and assigned by the Controller Qualifications
Bachelor\'s degree in Accounting 4-8 years experience in manufacturing industry
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Our client, a manufacturing company, is looking for an
Accounting Manager
to join them in Thousand Oaks, CA location. This person will be responsible for carrying out the day-to-day accounting functions and monthly closings. They offer competitive compensation packages along with excellent benefits! Base pay range $110,000.00/yr - $120,000.00/yr Responsibilities
Monthly close and preparation of financial statements for a number of entities Participate in the month-end and year-end processes Perform balance sheet and income statement variance account analysis, and prepare all related journal entries Prepare and analyze general ledger account reconciliations such as banks, AR and AP Ensure inter company transactions are recorded correctly and appropriately eliminated in consolidated financial statements Responsible for computing the daily cash balances for management purposes Bank reconciliations, cash flow report Schedule and prepare checks, wires, ACH templates Charge expenses to accounts by recording entries and invoices Assist with other ad-hoc projects as necessary and assigned by the Controller Qualifications
Bachelor\'s degree in Accounting 4-8 years experience in manufacturing industry
#J-18808-Ljbffr