Vaco Recruiter Services
Staff Accountant x 70K - 85K x WeHo
Vaco Recruiter Services, West Hollywood, California, United States, 90069
Staff Accountant – Cash Management – Bank Reconciliations – FX – Foreign Currency – Journal Entries – Reconciliations – Accruals – Advanced Excel
Are you a Staff Accountant with cash management experience or a Treasury Analyst with month-end close experience? If so, then we are working on a Staff Accountant opportunity that would be a great fit for you. Read more about the opportunity below!
A large e-commerce company in LA is looking for a Staff Accountant to join their team. The Staff Accountant will be responsible for cash flow management, assisting with month-end close, and managing bank reconciliations. To be successful in this role, the Staff Accountant should be driven, organized, and have great communication skills. Does this sound like you or someone you know? If so, then please read the full Senior Accountant job description below to see if this would be a match for your background or someone’s background that you can refer!
What do you need for this Staff Accountant role?
Bachelor’s Degree in Accounting or related field 2-4 years of accounting experience Experience with high volume bank reconciliations Advanced Excel What will you do in this Staff Accountant role?
Perform daily, weekly, and monthly bank reconciliations across a high volume of accounts with a high degree of accuracy. Manage and monitor cash balances, transfers, and bank activity to ensure liquidity and proper fund allocation. Collaborate with internal departments to investigate and resolve unreconciled items, cash discrepancies, and transaction anomalies. Support treasury operations, including initiating wire transfers, ACH payments, and intercompany cash movements. Assist in forecasting daily cash needs and preparing short-term cash flow reports. Maintain and update bank account records, signatories, and related documentation. Liaise with banking partners and internal stakeholders to ensure timely and accurate execution of treasury functions. Support month-end close activities related to cash and banking, including journal entries, account analysis, and variance reporting. Assist with internal and external audits by providing supporting documentation related to cash and treasury processes. Contribute to the continuous improvement of processes, systems, and internal controls related to treasury and reconciliations. What is in this Staff Accountant role for you?
Opportunity to join an established brand Employee discounts Great benefits 401K match Growing company So, if you are a Staff Accountant with cash management and bank reconciliation experience then we want to hear from you! Please send us your resume for this Staff Accountant role as we would love to connect with you! #J-18808-Ljbffr
Are you a Staff Accountant with cash management experience or a Treasury Analyst with month-end close experience? If so, then we are working on a Staff Accountant opportunity that would be a great fit for you. Read more about the opportunity below!
A large e-commerce company in LA is looking for a Staff Accountant to join their team. The Staff Accountant will be responsible for cash flow management, assisting with month-end close, and managing bank reconciliations. To be successful in this role, the Staff Accountant should be driven, organized, and have great communication skills. Does this sound like you or someone you know? If so, then please read the full Senior Accountant job description below to see if this would be a match for your background or someone’s background that you can refer!
What do you need for this Staff Accountant role?
Bachelor’s Degree in Accounting or related field 2-4 years of accounting experience Experience with high volume bank reconciliations Advanced Excel What will you do in this Staff Accountant role?
Perform daily, weekly, and monthly bank reconciliations across a high volume of accounts with a high degree of accuracy. Manage and monitor cash balances, transfers, and bank activity to ensure liquidity and proper fund allocation. Collaborate with internal departments to investigate and resolve unreconciled items, cash discrepancies, and transaction anomalies. Support treasury operations, including initiating wire transfers, ACH payments, and intercompany cash movements. Assist in forecasting daily cash needs and preparing short-term cash flow reports. Maintain and update bank account records, signatories, and related documentation. Liaise with banking partners and internal stakeholders to ensure timely and accurate execution of treasury functions. Support month-end close activities related to cash and banking, including journal entries, account analysis, and variance reporting. Assist with internal and external audits by providing supporting documentation related to cash and treasury processes. Contribute to the continuous improvement of processes, systems, and internal controls related to treasury and reconciliations. What is in this Staff Accountant role for you?
Opportunity to join an established brand Employee discounts Great benefits 401K match Growing company So, if you are a Staff Accountant with cash management and bank reconciliation experience then we want to hear from you! Please send us your resume for this Staff Accountant role as we would love to connect with you! #J-18808-Ljbffr